Liquidity Risk Manager
vor 2 Wochen
YOUR AREA
The Liquidity Risk Management Unit within the Risk Modelling division is responsible for the identification, measurement, and steering of liquidity risk.
Due to the high relevance for risk management, the function cooperates intensely with other departments and exchanges frequently with management.
YOUR TASKS
- Responsibility for development of the target solutions to streamline liquidity risk reporting based on new and existing business requirements
- Analyze liquidity risk development in different areas of banking activity
- Interaction with internal and external stakeholders
- Taking the initiative on simplifying, automating, and improving the efficiency of data processing and work processes
- Data driven analytics
- Maintain the project process and documentation
YOUR PROFILE
- Minimum 3 years of experience in risk or data analytics, preferable in the financial services industry
- A fundamental understanding of banking risks and/or finance
- Good knowledge of (Oracle) SQL and/or R. Experience with market data and risk systems would be a plus
- A quick learner with excellent analytical skills and a goaloriented and structured working approach along with the ability to breakdown complex issues appropriately for a given audience
- Good communication skills and a team player
- Fluent in English and/or German
WE OFFER
- Prime office locations with an open and nurturing corporate culture
- Active participation in the transformation of an agile and digital company
- Flexible worktime models, vast career opportunities, training and development, various attractive social benefits
We guarantee a competitive salary dependent on your professional and personal qualifications, starting at € 40.980,80 gross per year for this position, in accordance with the respective collective agreement.
Job Reference:
BAT00822
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