Oferta pracy

Financial Risk Solutions Analyst / Fund Investment Industry

Deloitte PolskaO firmie

  • łódzkie

  • Ważna jeszcze 18 dni
    do: 11 sie 2021
  • Praca zdalna
  • Pełny etat
  • Specjalista (Mid / Regular)
Financial Risk Solutions Analyst / Fund Investment Industry
#4229

Quality driven analyst who:

  • Holds a Master's degree in Finance, Applied Mathematics or Business Engineering
  • Has a first experience or internship in the financial sector
  • Shows strong quantitative skills in financial risk, derivatives pricing and mathematics
  • Shows proven IT skills and excellent knowledge of Excel VBA, Access and Matlab
  • Demonstrates an ability to work autonomously as well as be part of a team
  • Is fluent in French and English. German is considered an asset
  • Assist our clients in the implementation or review of quantitative risk solutions, with a focus on market, liquidity and credit risk
  • Ensure the delivery of high quality risk solutions and contribute to the development and improvement of our internal risk platform
  • Develop an expertise in valuation, risk modelling and statistical analysis of financial and derivatives assets
  • Be directly involved in client on-boarding projects and provide regular support to client queries
  • Participate in the on-going improvement of our risk platform's processes and our risk libraries
  • Uses technologies to achieve efficiencies and enhance deliverables
 
 
Financial Risk Solutions Analyst / Fund Investment IndustryNumer ref.: #4229

Quality driven analyst who:

  • Holds a Master's degree in Finance, Applied Mathematics or Business Engineering
  • Has a first experience or internship in the financial sector
  • Shows strong quantitative skills in financial risk, derivatives pricing and mathematics
  • Shows proven IT skills and excellent knowledge of Excel VBA, Access and Matlab
  • Demonstrates an ability to work autonomously as well as be part of a team
  • Is fluent in French and English. German is considered an asset
  • Assist our clients in the implementation or review of quantitative risk solutions, with a focus on market, liquidity and credit risk
  • Ensure the delivery of high quality risk solutions and contribute to the development and improvement of our internal risk platform
  • Develop an expertise in valuation, risk modelling and statistical analysis of financial and derivatives assets
  • Be directly involved in client on-boarding projects and provide regular support to client queries
  • Participate in the on-going improvement of our risk platform's processes and our risk libraries
  • Uses technologies to achieve efficiencies and enhance deliverables

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