Job Market Guide: Risk Analyst jobs in Louisville

Competition
Desired Skills
Years of Experience
Years of Experience distribution graph for Risk Analysts in Louisville. Risk Analysts in Louisville have between ${} and ${} years of experience, averaging $${} years of experience.

6 Risk Analyst jobs in Louisville

Batesville, IN
In this role, you will develop, implement, and support an ongoing repeatable information security education & awareness program in multiple languages.
industry
Business Services
experience
Less than 5 years

Security Risk Analyst

Cincinnati, OH
In this role, the selected candidate will help develop a security risk framework and methodology; help develop a security risk program engagement model.
industry
Software
experience
Less than 5 years

Louisville, KY
In this role, you will responsible for monitoring and distributing automation test results, and will continually assess the site to come up with strategies for new automated tests.
industry
IT Consulting/Services
experience
Less than 5 years

Cincinnati, OH
In this role, the selected candidate will be responsible for developing analytics to assist in the identification and evaluation of all risks related to Consumer Credit (i.e. Direct, Indirect, Credit Card, and Mortgage).
industry
Financial Services
experience
Less than 5 years

Model Risk Analyst

Cincinnati, OH
In this role, you will conduct the Bank-wide model risk management program aimed at ensuring models and related processes comply with internal policies and regulatory guidance, reflect best practices for their use and operations, and adhere to a strong control environment.
industry
Financial Services
experience
5 - 7 years

Cincinnati, OH
In this role, you will provide intermediate market risk, quantitative and financial analyses utilizing financial risk modeling software programs and modeling tools in support of financial and risk management. Provides intermediate research analysis in support of recommendations and management information related to profitability trends, market risk exposure, prepayment activity, market risk modeling practices, and other financial and risk related characteristics of the balance sheet.
industry
Diversified Industrial
experience
Less than 5 years