Core Responsibilities

Prepare all regulatory reports required by the Colombian Financial Superintendency (SFC) within established deadlines, ensuring data integrity and accuracy. Develop, maintain, and enhance regulatory and internal financial risk measurement models, including Value at Risk (VaR) and stress testing. Design and implement regulatory and internal risk models using SQL and Python to support risk monitoring and reporting.

Requirements

Bachelor's degree in Economics, Finance, Industrial Engineering, Mathematics, Statistics, or a related field. 3+ years of experience in financial risk management within Colombian financial institutions regulated by the SFC. Fluent in English and Spanish, with advanced SQL skills and strong Python programming skills.

Additional Information

Experience Level

Mid-Level

Job Language

English

Employment Type

Full-time

Work Mode

Remote