Risk Analyst; Remote
Remote / Online - Candidates ideally in
Singapore
Listed on 2026-03-04
Singapore
Listing for:
Talent Bridge
Remote/Work from Home
position Listed on 2026-03-04
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst, Financial Consultant
Job Description & How to Apply Below
- Engagement: Hourly contract (independent contractor)
- Rate: USD 59-111/hour
We are seeking a Financial Risk Specialist to apply deep risk management expertise toward the development and refinement of advanced AI systems. In this remote role, you will translate real-world financial risk practices into structured insights that enhance AI-driven risk modeling, forecasting, and compliance analysis.
This opportunity is ideal for professionals who combine strong quantitative skills with a practical understanding of financial markets, regulation, and enterprise risk management.
Key Responsibilities- Identify, assess, and analyze financial risks impacting assets, earnings, capital, and overall organizational performance
- Interpret regulatory developments and financial legislation to evaluate implications for risk exposure and AI model alignment
- Apply econometric modeling, statistical software, and advanced quantitative techniques to assess market, credit, liquidity, and operational risk
- Collaborate with traders and financial strategists to capture practical risk insights and translate them into structured AI training inputs
- Research and incorporate contemporary financial literature, risk methodologies, and statistical innovations into AI training datasets
- Evaluate AI-generated risk outputs for realism, compliance accuracy, and methodological soundness
- Clearly communicate complex risk findings and recommendations in written documentation and virtual presentations
- Partner with cross-functional teams to ensure AI systems reflect real-world financial risk frameworks and industry best practices
Skills and Qualifications
- Demonstrated experience in financial risk analysis within banking, asset management, trading, insurance, or related sectors
- Strong proficiency with statistical analysis software and econometric modeling tools
- Expertise in both quantitative and qualitative risk assessment methodologies
- Deep understanding of financial regulation, compliance frameworks, and legislative interpretation
- Exceptional written and verbal communication skills
- Experience collaborating with traders, portfolio managers, or financial strategists
- Commitment to continuous professional learning and staying current with financial literature
- Ability to work independently and collaboratively in a fully remote environment
- Experience contributing to AI model training, validation, or machine learning initiatives in finance
- Financial Risk Manager (FRM) certification or equivalent credential
- Advanced degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field
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