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Esg Risk Analyst Jobs
Company | Finance Professionals Inc. |
Address | Toronto, Ontario, Canada |
Employment type | CONTRACTOR |
Salary | |
Expires | 2023-07-27 |
Posted at | 10 months ago |
Contract Duration: 12 months
Location Address: 155 Wellington St I Hybrid – onsite 3 times a week
Daily Responsibilities:
- Researching technical methodologies for calculating E&S Risk metrics and targets – e.g. financed emissions, net-zero targets
- Using Python and SQL to calculate E&S Risk metrics
- Perform QA, write documentation, and develop production-ready code to implement the above
- Develop content for and help present results and methodologies to internal stakeholders
- Team meeting to discuss priorities and blockers
Candidate Requirements/Must Have Skills:
An interest in Environmental and Social Risk in general and climate change in particular
Experience developing presentations, visualizations and dashboards for senior executives and an interest in developing advanced analytical capabilities
Demonstrated ability in mathematical, statistical, financial, or economic analyses on large, complex datasets and in translating data into business insights
A desire and ability to build new and innovative approaches to complex problems.
Commitment to quality and accuracy with a high level of attention to detail.
Excellent written and verbal communication skills.
Nice-To-Have Skills:
Knowledge of climate change science with experience in the development and use of climate change and economic scenarios, models, projections, and data.
Knowledge or familiarity with the climate risk and/or target setting guidance issued by PCAF, NZBA, TCFD, ISSB, and/or OSFI (B-15)
Experience with or knowledge of carbon-intensive sectors, e.g. agriculture; aluminum; cement; coal; commercial and residential real estate; iron and steel; oil and gas; power generation; and transportation
Experience with or interest in agile or design thinking methodologies or frameworks.
Knowledge and experience in quantitative model development, testing and validation.
Knowledge of wholesale and retail credit risk rating systems with experience in parameter estimation, portfolio management, or risk appetite.
Experience working with a diverse range of stakeholders.
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