Informacje o stanowisku
Job ID: 27059
Senior Analyst, Treasury Models & Analytics
Client: Nordea Bank
Location: Warsaw, Poland
Job Category: Other
EU work permit required: Yes
Job Reference: 9e13e748f69c
Job Views: 6
Posted: 23.01.2025
Expiry Date: 09.03.2025
Job Description:
Would you like to join a fast-paced and dynamic team that works at the core of risk management of Nordea? We are now looking for a Senior Analyst to join Group Treasury, a unit within Group Finance.
At Nordea, we see that the world is changing fast – and we want to be one step ahead of the curve. That’s why we’re deeply committed to providing the financial solutions of tomorrow to our customers. We’re creating an agile environment where we experiment and grow together – and we need your ideas and unique background. With us, you’ll be in good company with a chance to make your mark on something bigger.
About this opportunity
Welcome to the Treasury Models & Analytics team. We add value by providing high-quality analysis and quantitative models used to manage liquidity risk and non-traded market risk of the Group. As the Senior Analyst, you’ll play a valuable role in providing analysis in these areas and further develop related processes.
What you’ll be doing:
- Analyzing input data & outcomes, producing liquidity risk reports and providing ad-hoc analysis and insights to internal stakeholders
- Continuously developing processes, methodologies and quantitative models for liquidity risk & non-traded market risk measurement, reporting and analytics
- Engaging in improvement projects in the area, especially related to automating and streamlining processes
You’ll join a dynamic team that is currently going through important change agendas providing you the exposure towards a strategically important function within the Bank. The role is based in either Copenhagen, Helsinki or Warsaw.
Who you are
Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.
To succeed in this role, we believe that you have:
- A curious mindset and strong analytical and problem-solving skills
- Flexibility, adaptability and an ability to learn quickly
- Ability to proactively drive development work
- Keen interest towards process development and automation
Your experience and background:
- Work experience in the area of financial risk analytics & modelling, preferably focusing on market risk (e.g. IRRBB), liquidity risk or related regulation in a bank, consultancy or FSA
- Ability and willingness to work with data & technology. Solid skills in programming languages such as SQL or Python. Experience from AI and related technologies is a plus
- A solid academic degree at master level preferably in economics, finance or similar
- Excellent written and spoken communication skills, in particular ability to explain complex technical concepts to non-technical senior executives
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