Senior Risk Analyst (f/m/x)
⚲ Warszawa, Rzeszów, Łódź, Kraków, Katowice
24 000 - 28 000 PLN netto (B2B)
Wymagania
- Risk Management
- Knowledge of Statistics
- Python
- Microsoft Excel
Opis stanowiska
Introduction to offer:
We are looking for a Senior Risk Analyst to support the development and maintenance of market risk models and methodologies for accurate traded risk measurement and management. In this role, you will work within a dynamic team environment, contributing to the ongoing enhancement of risk models and collaborating with international colleagues. This position offers a hybrid work mode (6 times per month in Cracow office), allowing flexibility in your work location across various cities including Cracow, Warsaw, Katowice, Kielce, Rzeszow, and Lodz.
Your tasks:
• Developing and enhancing market risk models according to regulatory and internal risk management requirements
• Contributing to the maintenance of models through monitoring tests, periodic calibration, and performance assessment
• Implementing model development and monitoring in the in-house Python-based Analytics library
• Analyzing real-world data to develop and enhance risk models, ensuring understanding of features, assumptions, and limitations
• Participating in the validation of models, identifying target market data and completing validation within agreed timelines
• Engaging in ad-hoc projects, providing timely and coherent information as needed
• Suggesting and documenting improvements to existing frameworks to automate systems and enhance controls
• Explaining model details clearly to non-technical stakeholders, assisting in the ongoing usage of models in daily risk management
Requirements:
• Minimum qualification in Maths, Engineering, Science, Finance, or Business Management, or relevant 5 years of experience in risk management
• Good understanding of statistics and strong analytical skills
• Proficiency in Python for analysis and prototyping, along with Excel VBA skills
• Basic knowledge of market risk measures and derivative products
• Ability to process and analyze large volumes of data under pressure and tight timelines
• Effective communication skills and the ability to work flexibly in an international team
• Desire to learn and grow in a challenging environment
• Advanced level of English
Nice-to-have requirements:
• Professional qualifications such as FRM, PRM, or CFA Levels are advantageous
• Knowledge of C++ is a plus
We are looking for a Senior Risk Analyst to support the development and maintenance of market risk models and methodologies for accurate traded risk measurement and management. In this role, you will work within a dynamic team environment, contributing to the ongoing enhancement of risk models and collaborating with international colleagues. This position offers a hybrid work mode (6 times per month in Cracow office), allowing flexibility in your work location across various cities including Cracow, Warsaw, Katowice, Kielce, Rzeszow, and Lodz.
Your tasks:
• Developing and enhancing market risk models according to regulatory and internal risk management requirements
• Contributing to the maintenance of models through monitoring tests, periodic calibration, and performance assessment
• Implementing model development and monitoring in the in-house Python-based Analytics library
• Analyzing real-world data to develop and enhance risk models, ensuring understanding of features, assumptions, and limitations
• Participating in the validation of models, identifying target market data and completing validation within agreed timelines
• Engaging in ad-hoc projects, providing timely and coherent information as needed
• Suggesting and documenting improvements to existing frameworks to automate systems and enhance controls
• Explaining model details clearly to non-technical stakeholders, assisting in the ongoing usage of models in daily risk management
Requirements:
• Minimum qualification in Maths, Engineering, Science, Finance, or Business Management, or relevant 5 years of experience in risk management
• Good understanding of statistics and strong analytical skills
• Proficiency in Python for analysis and prototyping, along with Excel VBA skills
• Basic knowledge of market risk measures and derivative products
• Ability to process and analyze large volumes of data under pressure and tight timelines
• Effective communication skills and the ability to work flexibly in an international team
• Desire to learn and grow in a challenging environment
• Advanced level of English
Nice-to-have requirements:
• Professional qualifications such as FRM, PRM, or CFA Levels are advantageous
• Knowledge of C++ is a plus
🔍 Dekoder Ogłoszenia
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dynamic team environment
Szybko zmieniające się priorytety, duża presja i częste zmiany w zespole/projekcie