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Manager - Global Finance Analytics
  • Kraków
Manager - Global Finance Analytics
Kraków, Kraków, małopolskie, Polska
HAYS
24. 8. 2024
Informacje o stanowisku

Opis stanowiska pracy

Manager - Global Finance Analytics
Kraków
NR REF.: 1188103

Your new company 

You will join Service Delivery Centre of one of the world39s biggest investment banks. You will become part of a newly, globally established division responsible for overseeing model risk and governance to create overseeing model risk and governance and creating a centre of expertise within Finance for model development, advanced analytics and innovation. 

Your new role 

You will bring expertise to the model development team. 

Your responsibilities will include:
  • Developing/enhancing models and methodologies across Finance predominantly related to forecasting and stress testing.
  • Overseeing the work of more junior model developers, and being able to set direction and expectations as well as supporting growth and innovation.
  • Working in an agile way, considering both best practice and practical solutions and iterating towards the former.
  • Participating and presenting in regular stakeholder (Business, Change, IT) catch-up sessions to keep up to date with ongoing projects and deliverables.
  • Working closely with other teams within Global Finance, e.g. SP+ST, Business Finance Teams, Finance on the Cloud teams, IT, etc. to ensure that the delivery is improving Finance Analytics capability in a consistent and strategic way.
  • Problem-solving: At times the customer requirements may require further refinement, or the preferred solution may be impractical (in particular availability or history of data) - an ability to interrogate options, data, and drive solutions is required.


What you39ll need to succeed 

  • University Degree (Masters or PhD preferred) in Quantitative Finance or in a numerical subject (Maths, Physics, Engineering, Econometrics).
  • Relevant experience in analytics specifically in the fields such as Credit Risk Modelling, Stress Testing, Loss Forecasting, Reserving, IFRS 9, ECL etc. for a Banking organisation.
  • Strong analytical and problem-solving skills.
  • Familiarity with forecasting, stress testing models.
  • Python and/or R proficiency, familiarity with SQL and source control.
  • Strong understanding of consumer products such as Deposits, Savings, Lending, Credit Cards, CRE, as well as Costs, Interest Income and Fee Income in general.
  • Excellent communication skills (both written and verbal).

What you39ll get in return 

  • Contract of employment with salary up to 22 000 PLN gross

  • Remote work (office only 1x/month

  • Flexible working hours
  • Annual performance- based bonus
  • Additional bonuses for recognition awards
  • Multisport Card
  • Private medical care
  • Life Insurance
  • One-Time reimbursement of home office set up (up to 800 PLN)
  • Corporate parties and events
  • CSR Initiatives
  • Nursery and Kindergarten discounts
  • Financial support with trainings and education
  • Social Fund
  • Free parking

What you need to do now 


If you39re interested in this role, click 39apply now39 to forward an up-to-date copy of your CV, or call us now.



Hays Poland sp. z o.o. is an employment agency registered in a registry kept by Marshal of the Mazowieckie Voivodeship under the number 361.

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