Risk Analyst (Banking)

What will be your key responsibilities:

  • Monitor and analyse credit and liquidity stress testing exposures
  • Assess credit-, concentration- and wrong way risk- limit utilization
  • Regularly create comprehensive risk management reports and disclosures, including event-driven analyses
  • Maintain and further develop the employed risk management tools and related documentation
  • Work in close collaboration with IT to accompany the development process, including writing business requirements and performing business acceptance testing

What experience should you have:

  • Higher education degree and profound industry experience in a financial or quantitative discipline
  • Good understanding of financial markets with knowledge of at least one of the following asset classes: Listed equity and fixed income derivatives, bonds, SFTs, FX, or interest rate swaps
  • Excellent analytical skills as well as high results orientation and good communication skills
  • Efficient team player with a high degree of organisational self-reliance
  • Expertise with software requirements analysis, specification, programming and testing
  • Excellent command of MS office, experience with Databases/ SQL and a programming language

What do you get in return:

  • Stable, multi-culture and employee friendly company with an excellent location in Prague
  • Fully paid public transportation card
  • Fully paid MultiSport card
  • Meal allowance and Multi tickets
  • High-coverage life and accident insurance, Pension Fund contribution
  • Fully covered sick leave and maternity leave
  • Constant learning opportunities, excellent trainings and language courses
  • Flexible HO and employee events paired with top remuneration packages
Mám zájem o tuto pozici

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