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Overview About the Role : Grade Level (for internal use) : 12 About the Team : Analytic Risk & Quality (ARQ) has a global scope and consists of experienced analysts with substantial experience in the Capital Markets. ARQ is charged with providing an independent risk-based assessment of the inherent risks of various analytic products produced by Commodity Insights (CI) and Sustainable1 (S1) and the robustness of the analysis in order to enhance analytical quality by fostering effective analytical processes and defendable results. It also provides Regulators Senior Management Risk Committees and Audit with an independent view of analytical risks and assessment of the application of the methodology and models used to produce S1 analytic products by conducting focused risk-based activities. Responsibilities and Impact : As an Analytic Risk Officer, independently validate and monitor the appropriateness of CI and S1 analytic products and their related processes. Evaluate risk-based activities including (i) fitness-for-purpose of new or revised methodologies and models, (ii) defensibility of analyses including analytic judgement, (iii) evidence supporting the analyses, (iv) transparency of published rationales, and (v) appropriate use of underlying models. Manage relationships with first line leaders and serve as an ambassador of ARQ views to stakeholders (which can include Regulators, Senior Management, SPGI Divisions, and Corporate Risk and Compliance functions). Lead or contribute to development and maintenance of analytic platforms/visualizations and ensure ongoing development and maintenance of metrics for CI and S1 portfolios. Facilitate emerging risk identification and the development of remedies. Provide analytical insights and collaborate with the first line on holistic risk mitigation within an integrated framework; share best practices across the portfolio. Design and perform issue-specific tests related to various aspects of the analytical process. Prepare risk-based reports focusing on key systemic analytically relevant risks and trends; assist with board materials as requested. Research external market data and synthesize results to identify key trends and risks. What Were Looking For Basic Required Qualifications Experience in Capital Markets. Ability to independently validate and monitor analytic products and processes. Experience in evaluating methodologies and models for their appropriateness and defensibility. Ability to manage relationships with first line leaders and communicate effectively with Regulators and Senior Management. Skills in preparing risk-based reports and materials focusing on analytical risks and trends. Additional Preferred Qualifications Experience in the development and maintenance of analytic platforms and visualizations. Ability to facilitate the identification of emerging risks and develop remedies. Collaboration skills to work on integrated risk mitigation frameworks. Design and perform tests related to specific aspects of the analytical process. Ability to research external market data and synthesize results to identify key trends and risks. Other Details Return to Work: We support returners through Restart initiatives and encourage applicants returning to the workforce. About Sustainable 1: S&P Global’s centralized source for sustainability intelligence with coverage of global markets and sustainability products. Our Purpose and Our People: Information on how we transform data into Essential Intelligence and our commitment to a diverse, equitable, and inclusive workplace. Benefits: Health & Wellness, Flexible Downtime, Continuous Learning, and other family-friendly perks; details vary by country. Equal Opportunity Employer: S&P Global is an equal opportunity employer. All qualified candidates will receive consideration without regard to protected characteristics. Recruitment Fraud Alert: Be aware of scam emails. S&P Global never requires