413
- Apraksts
- Pamatinformācija
- Uzņēmums
Job description
- Support and educate colleagues regarding processes, systems and other work-related tasks by maintaining key knowledge
- Effectively communicate regarding tasks and process related issues with involved parties
- Continuously develop end-to-end processes and infrastructure for Market Risk Reporting both technically and conceptually
- Take leading role in task migration, testing activities, projects, Bank-wide or Group Risk initiatives
- Support Market Risk Organization and other stakeholders in dealings with auditors and financial regulators
- Perform market risk reporting related tasks according to competence level
- Follow work instructions and Group Risk policies
Requirements
- At least 3 years of experience from financial sector or IT
- Understanding of market risk that derives from financial instruments
- University degree in Finance, Mathematics, Economics, IT or similar
- Fluent in English (both spoken and written)
- Solid experience using SQL (knowledge of Python or similar programming languages to work with data sets will be considered as advantage)
- Strong analytical and problem-solving skills
- Highly result oriented with the ability to get things done
- Good communication and collaboration skills
- High ability to work independently with a strong sense of integrity
- Willing and committed to learn and develop
- International experience would be considered as advantage
Company offers
- Competitive remuneration package including health insurance and profit-sharing program
- Work in international environment with friendly and open team members
- Training, courses, and environment to acquire new skills and knowledge
Tev varētu interesēt arī:
FINANŠU ANALĪTIĶIS/E
Key Account Manager 
BIZNESA ANALĪTIĶIS