We’re looking for a candidate to fill this position in an exciting company.
- Maintain models and related reporting processes, ensuring compliance with internal and regulatory requirements regarding risk measurement (focusing on Investment Risk)
Digital transformation of the Risk- and Finance functions using new methods like Big Data Analysis, Advanced Analytics and Artificial Intelligence
Implementation of new funds, new asset classes and new business requirements (e.g. interest rate curves)
Support and advice colleagues from different departments
Data analysis via SQL, R, Python and rapid prototyping via VBA, C++, Python
Key member in various internal and external projects
Interface between clients, project members and end users
- University degree preferably in economics, business administration, business information technology, mathematics, physics and/or an equivalent experience in finance
Experience in Asset- and Risk Management or banking industry including exposure to financial markets and instruments
Several years of professional experience in relevant fields (e.g. consulting industry or financial business analysis)
A very flexible and proactive approach, combining diplomacy and assertiveness
Strong analytical skills with an agile mindset
High degree of analytical thinking, motivation, autonomy and an above-average willingness to perform
High personal responsibility and understanding of data quality and stable operative processes
Programming skills in C++, VBA, SQL, R and Python is a plus
Fluent in English and German
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