Submitting a well-written resume is a great way to make an impression on an employer. A good resume centers around your information, but how that information is put together also important. A Risk Management resume template like the one below shows off your skills to get the job you want.
Resume Template for Risk Management
Skilled Risk Management professional plans and deigns processes to analyze and solve risk issues. A background in banking and finance also aides in evaluating market and credit risks. Proven data mining skills for developing and assessing previous risk management situations and creating continuity plans with limited exposure.
• CFA, GARP & CTP certifications • Analytica, KMI EHS, Entropy • Credit, commodity and currency evaluation • Treasury management strategy • Microsoft Office • Data mining, analyzation • Proven technical acumen • Problem-solving • Communication and negotiation
• Creates methods to identify loss to organization, employees and clients • Determines realistic opportunities to maximize cost-effectiveness and balance client retention • Develops budgets, collects data for client profit/loss and reviews major contracts, assists in selecting new program activities • Reports to Senior Management on risk transfer and avoidance
Risk Analyst, December 2008 – May 2012 Intercontinental Exchange, Inc. – Atlanta, Georgia
• Collaborated with facility teams in implementing risk systems • Reviewed and validated risk models, reporting of risks within company departments • Reported and defended new risk solutions to stakeholders • Documented methods and findings of analysis • Communicated intentions and goals between operations, product management, IT and the Risk Management department
Quantitative Finance Analyst, July 2002 – November 2008 Bank of America – Atlanta, Georgia
• Conducted quantitative analysis, modeling and system approaches • Documented activities and designed systems with the technology department • Developed tactical plans for strategic direction • Used independent review and testing on primary market models in the BoA Investment division • Evaluated hedging in the Mortgage Serving Rights assets
2002, Master of Science, Finance Georgia State University – Atlanta, Georgia