For our client, a global well-recognized bank we’re looking for
Senior Market Risk Analyst (Rates and Currencies)
You’ll become a part of Rates and Currencies Market Risk Reporting - a division that recently has been growing in Warsaw office. The role offers big potential of growth within the company and exposure towards global experience.
You’ll be responsible for:
·Verifying risk exposure,
·Providing analysis of the risk drivers,
·Working across a dynamic, international teams and collaborating with global businesses, technology, and market,
·Developing innovative analytics and reporting solutions,
·Participation in risk committees,
·Managing reconciliation discrepancies.
·Minimum bachelor’s degree preferably in finance,
·Minimum 3 years of experience in Market Risk, Credit Risk, Treasury, Risk Reporting, or Product Control,
·Understanding of market risk factors that affect VaR, SVAR, IRC, CRM, Securitization, and Standard Specific Model Risk,
·Understanding the relationship between VaR and the risk factors, volatilities,and correlations that go into the statistical calculation to the point where the VaR can be verified and potentially corrected,
·Very good Microsoft Access, Excel, VBA skills,
·Understanding of market risk regulatory risk based capital rules,
·Familiarity with Power BI and Tableau will be an asset,
·Proficiency in English (you’ll work in an international environment on a daily basis).
·Opportunity of growth and development in an international and well-established company,
·Benefit package (Medical care, life insurance, holiday allowance, Multisport card, retirement plan).
Applications for referral program are accepted by 5.10.2021