Risk MI & Reporting Analyst
As a Risk MI & Reporting Analyst at Barclays within the Markets Pre Trade team, you will gather, analyze, and present risk data in a clear and concise manner to stakeholders across the organization, facilitating informed decision-making, risk mitigation, and regulatory compliance. Your key responsibilities include developing and maintaining a variety of risk reports covering credit, market, operational, and liquidity risk, as well as regulatory reports. You will extract risk data from various sources including internal systems, risk models, and external market data feeds, and analyze it to identify trends, patterns, and outliers. The role involves monitoring key risk indicators and metrics to identify emerging risks and track the effectiveness of risk mitigation strategies. You will develop and implement risk reporting improvements and automation initiatives, build Tableau dashboards and MI reports, and connect to various data sources such as MS SQL Server, MS Excel, and MS Access. You will also lead and supervise a team, guiding professional development and coordinating resources.