Market Risk Analyst
We are seeking a detail-oriented and analytical Market Risk Analyst to support the assessment and management of financial risk exposure across markets. You will play a vital role in analyzing risk factors, supporting investment decisions, and ensuring compliance with internal risk frameworks and regulatory requirements.
Key Responsibilities:
- Monitor and assess market risks across portfolios, including interest rate, foreign exchange, and equity risks
- Perform daily risk reporting and develop dashboards to track key risk indicators
- Conduct stress testing, scenario analysis, and value-at-risk (VaR) modeling
- Collaborate with trading, finance, and compliance teams to assess and communicate risk exposures
- Evaluate the impact of macroeconomic trends and market events on portfolio risk
- Support model validation processes and improve internal risk assessment tools
- Ensure regulatory compliance and assist with audit and reporting requirements
Qualifications:
- Degree in Finance, Economics, Mathematics, Statistics, or a related field
- Proven experience in market risk analysis, financial modeling, or a related role
- Strong knowledge of financial markets, instruments, and risk management principles
- Proficiency in risk analytics tools (e.g. Bloomberg, RiskMetrics, Python, R, or Excel/VBA)
- Analytical mindset with strong attention to detail
- Excellent communication and presentation skills
- Fluency in English; Swedish is an asset
What We Offer:
- Exposure to international financial markets and risk management strategies
- Collaboration with multidisciplinary teams in a dynamic environment
- Continuous professional development opportunities
- A supportive and intellectually stimulating workplace
If you are passionate about financial markets and enjoy working with data to drive insight, we look forward to your application.