Sr. Risk Analyst
Brown Brothers Harriman(1 day ago)
About this role
The Financial Markets Risk Manager at BBH supports the Capital Partners' business line by identifying, analyzing, and mitigating risks associated with client fixed income private credit transactions. The role involves developing risk frameworks, analyzing portfolios, and collaborating with various teams to ensure effective risk management. It requires a strong understanding of financial products, data analysis, and risk modeling.
Required Skills
- Python
- SQL
- Risk Management
- Financial Modeling
- Data Analysis
- Stress Testing
- VaR
- ES
- Monte Carlo Simulation
- Market Risk
About Brown Brothers Harriman
bbh.comAt Brown Brothers Harriman, we serve the most sophisticated individuals and institutions with expertise through our focused business lines: Investor Services, which offers custody, accounting, administration, capital market services, and operating model solutions; and Capital Partners, which offers wealth management, corporate advisory and banking, investment management, and private equity.
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