Team: Financial Risk Analytics provides products and solutions to financial institutions to measure and manage their market risk, counterparty credit risk, regulatory riskcapitaland derivative valuation adjustments. Our solutions combine advanced analytics and technology, including a fully vectorized pricing library, machine learning, and a scalable Big Data stack, and are used … ordinarily at your nearest S&P Global office. This must be completed before we canproceedto an offer. Additional Preferred Qualifications: Exposure tomarket risk concepts, derivatives, valuation, risk models, regulatory capital, or financial analytics. Experience working with data, analytics, or technology products, ideally in a financial services or risk management environment. ...