Job Opportunity
Our company is seeking a Liquidity Risk Analyst to join our team.
As a key member of the Financial & Strategic Risks Unit, you will contribute to process optimisation projects involving process redesign, updates to control frameworks, development of new manuals and procedures to enhance reporting templates and deliverables.
Key Responsibilities:
* Conduct comprehensive testing of automated checks in Python systems to ensure accuracy, reliability and alignment with process improvement goals.
* Support digitalisation and optimisation efforts related to monthly liquidity KRI.
* Support automation and development of more frequent liquidity risk computations (weekly/daily) to meet front office and regulatory needs.
Requirements:
University degree in Finance, Mathematics, Economics, Business Administration or similar fields;
A minimum of three years of relevant professional experience in finance, such as financial administration and financial risk management;
Excellent knowledge of English, both oral and written. Knowledge of other EU languages would be an advantage.
Essential Skills:
Strong programming skills in Python, with ability to apply it in financial or risk-related tasks such as data analysis, automation or reporting;
Ability to work within tight deadlines, to react swiftly and effectively to new situations in client-focussed and high-quality service environment.
Benefits:
The selected candidate will receive competitive compensation based on their experience - between €48,600 and €76,800 gross per year.
This is a great opportunity for a long term temporary contract (initial 2-month contract + extensions).