Job Overview
We are seeking a skilled Liquidity Risk analyst to join our team.
Key Responsibilities
* Contribute to process optimisation projects by redesigning processes, updating control frameworks, and developing new manuals and procedures.
* Test automated checks in the Python system to ensure accuracy and reliability.
* Support digitalisation and optimisation efforts related to monthly liquidity KRI.
* Develop more frequent liquidity risk computations (weekly/daily) to meet front office and regulatory needs.
Qualifications and Requirements
Qualifications:
• University degree, preferably at postgraduate level, in Finance, Mathematic, Economics, Business Administration or similar fields.
• A minimum of three (3) years of relevant professional experience in finance.
• Excellent knowledge of English, both oral and written. Knowledge of other EU languages would be an advantage.
• Strong programming skills in Python, with the ability to apply it in financial or risk-related tasks such as data analysis, automation, or reporting.
Competencies:
• Ability to work within tight deadlines and react swiftly to new situations.
• Excellent organisational skills with the ability to prioritise.
• Disciplined approach while maintaining creativity and lateral thinking.
• Excellent interpersonal skills for dealing with internal and external counterparts.
• Team player.
This is a great opportunity for a long-term temporary contract to start as soon as possible.