Remote Financial analysis Jobs β€’ Python

5 results

Job listings

Fixed Income Analyst

Numerix πŸ“ŠπŸ“ˆπŸ’±

As a Fixed Income Analyst, you will solve challenging quantitative and technological problems from major customers in a dynamic, fast-paced environment. You will speak directly with clients, address business needs, and support next-generation fixed-income software, collaborating with quantitative development and product managers. This role also involves serving as a subject matter expert for both European and North American fixed-income needs, providing insights to drive product growth.

Risk Manager

RootstockLabs β›οΈπŸŒπŸ§ͺ

We’re looking for a Risk Manager (contractor, 20 hours per week) in Europe / Latin America to support our growing investment strategy and financial risk management function. You’ll play a pivotal role in identifying, assessing, and monitoring the financial and operational risks of the organization’s investments and financial assets across both traditional finance and Web3.

Data and Reporting Financial Systems Analyst

Fulton Bank πŸ¦πŸ’°πŸ“Š
$70,600–$117,700
USD/year

This full-time career opportunity can be remote within the Fulton Bank footprint. The primary responsibilities of this role are to develop, implement, and support data analytics within Corporate Accounting Partners, and to participate in the creation and delivery of accurate and timely financial reporting. This role will analyze, model, and synthesize data from various sources into meaningful information the business can use for better decisions.

Financial Analyst

CloudWalk ☁🚢🏦

As a Financial Analyst at CloudWalk, you will build financial models, analyze credit portfolios, and track performance. This role involves identifying trends, risks, and opportunities within credit portfolios and creating dashboards to reflect the company’s financial performance. Your work will directly support leadership with reports and insights on asset profitability and funding needs.

$150,000–$180,000
USD/year

Develop credit risk strategies and enhancements for the assigned loan portfolio to improve performance. Provide design and monitoring for credit risk oversight framework including development of credit risk appetite, risk metrics thresholds, and limits. Proactively analyze portfolio performance and conduct root-cause analysis. Lead projects independently and perform ad hoc analysis.