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
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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