Raymond James · 4 hours ago
Risk Management - O&A Analyst
Raymond James is a financial services firm that is seeking a Risk Management - O&A Analyst. The role involves conducting financial analysis and performance metrics activities, recommending improvements for internal controls, and collaborating with colleagues to enhance the control environment and mitigate risks.
BankingFinancial ServicesInformation TechnologyInsuranceWealth Management
Responsibilities
Supports ongoing financial analysis, metrics and internal documentation for risk management activities in accordance with internal standards, relevant government statutes and regulations
Partners with colleagues and business process owners to evaluate the control environment and develop recommendations to strengthen internal controls and mitigation strategies
Stays up to date with evolving regulatory changes and market events impacting the business
Develops and maintains an in-depth understanding of business areas, their products, and supporting functions
Performs data collection and analysis in compliance with program requirements to assist in identifying, analyzing and recommending changes and support expense control, budget analysis and preparation, metrics and other internal documentation
Assists in performing reviews for assigned areas to identify key controls and mitigation strategies
Performs evaluations of key controls or remediation activities
Organize and prepare complex documents using a variety of applications for technology devices, such as standard office software. Also responsible for gathering and summarizing data for special reports
Track progress against budgets within established finance systems and report variances to more senior colleagues
Analyze and assess the risks associated with products, individual applications, new business areas, and the market to quantify risk and ensure it is within the agreed risk appetite
Contribute to the preparation of various data and analytics reports
Conduct research using primary data sources, and select information needed for the analysis of key themes and trends
Qualification
Required
Bachelor's Degree or any equivalent combination of education, training or experience approved by Human Resources
General Experience - 13 months to 3 years
Knowledge of fundamental concepts, practices and procedures of financial analysis and reporting with some awareness of risk management
Knowledge of fundamental concepts of financial markets and products
Strong interpersonal skills for interfacing with all levels of management
Strong analytical skills, particularly regarding inspect, cleanse, transform, and model data to discover useful information, inform conclusions, and support decision-making
Identify, assess, prioritize and manage risks
Review and evaluate recommendations and requirements and develop appropriate plans or delivery actions required
Documentation: procedures, reports, analysis, metrics
Enthusiastic, self-motivated, effective under pressure
Proven ability to manage time and deliver against deadlines
Analyze Alternatives and Recommend Solutions
Project Testing
Costing and Budgeting
Numerical Skills
Assessment
Reporting
Data Collection and Analysis
Review and Reporting
Data Control
Computer Skills
Ability to attend to detail while maintaining a big picture orientation
Ability to gather information, identify linkages and trends and apply findings to assignments
Ability to interpret and apply policies and identify and recommend changes as appropriate
Ability to organize, manage and track multiple detailed tasks and assignments with frequently changing priorities in a fast-paced work environment
Ability to meet tight deadlines within budgeted hours
Ability to work independently, demonstrating initiative and problem-solving skills
Ability to establish and maintain effective working relationships at all levels of the organization
Ability to provide a high level of customer service
Preferred
Recommended knowledge on Qlik, Tableau or similar applications
Company
Raymond James
Raymond James provides a range of investment banking services focused on the telecommunications and communications sectors.
Funding
Current Stage
Public CompanyTotal Funding
$1.5B2025-09-09Post Ipo Debt· $1.5B
1983-07-01IPO
Recent News
Private Banker International
2026-01-17
2026-01-16
2026-01-16
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