Senior Consultant | Quantitative Risk Analysis | Regulatory Advisory

🏢 grant thornton - uae
📍 Abu Dhabi, United Arab EmiratesFull-timeOn-site
📅 Posted: 4w ago🔄 Updated: 4w ago
CV%
✨ AI Summary
This Senior Consultant position in Quantitative Risk Analysis and Regulatory Advisory within a large professional services firm focuses on developing and implementing risk solutions for financial institutions, with an emphasis on Credit and Market Risk. The role involves applying expertise in quantitative analytics and market risk models to deliver high-quality advisory and analytical solutions, manage risk across various markets, and ensure compliance with regulatory frameworks. The position offers a collaborative work environment and opportunities for professional growth. The ideal candidate will possess a strong understanding of risk management principles, quantitative modeling techniques, and regulatory requirements. Responsibilities include model development, validation, implementation, preparing client-facing materials, and mentoring junior team members. The firm emphasizes a culture of authenticity, trust, and community, offering a chance to expand horizons and face challenges.
Required Skills
Other
IRRBBEBAVaRcvaESBaselCBUAEFRTBirb
Finance, Legal & Governance
Market RiskIFRSValuationRegulatory Compliance
Soft Skills & Professional Competencies
Quantitative Analysis
Business, Sales & Management
Risk Management
🎁 Benefits & Perks
Flexibility is a mindset, trust your colleagues to have your back.
Requirements
The role requires a thorough understanding of Credit and Market Risk, expertise in Quantitative Analytics and Market Risk Models (VaR, ES, IRB, IFRS 9, FRTB, IRRBB, CVA), and experience managing risk across various markets and financial instruments. Candidates must also have knowledge of local and international regulatory frameworks and strong analytical and problem-solving skills. Experience in preparing presentations, client meetings, and mentoring junior consultants is also expected.
Description
We're a large and growing professional services firm that still feels like a community. With over 76,000 professionals in more than 150 countries, we combine global scale with local expertise to help dynamic organizations unlock their potential for growth. We truly care about our colleagues, our clients, and the communities where we work and live.As a Senior Consultant,you'll play a key role in the successful delivery of services to clients, while gaining experience in a great variety of work under the coaching of your leaders. Your primary objective involves developing and implementing risk solutions for financial institutions clients with a focus on Credit and Market Risk. Discover your purple and join our Regulatory Advisory Team today! Let us paint a picture for youImagine being part of a team that puts we before me, where flexibility is a mindset, and where you trust your colleagues to have your back.Imagine working for an organization that believes in the power of authenticity in everything that we do. Whether you're steering discussions in a client meeting, tackling your fear of heights at the top of the Burj Khalifa or ziplining across Jebel Jais – bring your true self to work. Be a part of a team driven by a purpose of shaping the world that we live in, based on trust and integrity in markets, dynamic businesses, and communities where businesses and people thrive.Join us to expand your horizons, be inspired, face challenges, and most importantly, be yourself.About the Regulatory Advisory Service LineOur Regulatory Advisory practice supplies a range of services to regulatory authorities, licensed financial institutions and other relevant organizations. Partnering with our colleagues in Business Risk Services, Forensics, Business Consulting among others, our work falls broadly into the following areas: Regulatory Compliance Advisory, Risk projects, Prudential Regulations, Compliance Governance and Assurance among others.  As a Senior Consultant some of your responsibilities will include:Applying a thorough understanding of Credit and Market Risk to deliver high-quality advisory and analytical solutionsLeveraging expertise in Quantitative Analytics and Market Risk Models (including VaR, ES, IRB, IFRS 9, FRTB, IRRBB, CVA) to support model development, validation, and implementationManaging risk across Spot and Derivative markets for equities, interest rate, credit, commodities, and foreign exchange products, including hedging strategies and financial instrument valuationsDeveloping and validating financial and risk models to meet client and regulatory requirementsEnsuring compliance with local and international regulatory frameworks such as Basel, EBA, and CBUAE guidelinesUtilizing strong analytical and problem-solving skills to address complex risk management challenges and deliver actionable insightsPreparing presentations, participate in client meetings, and contribute to proposals and business development initiativesMentoring junior consultants, reviewing deliverables, and ensuring quality standards are met
✨ Premium Match Details
Deep-dive CV analysis, customized Cover Letters, and Interview prep!
📊 Match Analysis
Insights against your active CV
📊
Personalized Match Analysis
Upload your CV to see exact matching percentages, detailed skills mapping, and gap analysis for this role.
🎯 Overalli74%
⚡ Skillsi85%
View Breakdown
Ontology Match: 85.0
Matched:✓ Requirements Matching✓ Ontology Skills Mapping
📜 Eligibilityi49%
View Breakdown
Local: 19600%
🏗️ Career Fiti91%
View Breakdown
Seniority: 91.0
📋 Requirementsi67%
View Breakdown
Domain: 67.0
🔥 Motivationi78%
View Breakdown
Title Fit: 78.00