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Quantitative Risk Analyst

Nordea

København, Storkøbenhavn

Indrykket
16-09-2021
Kontakt
Nordea
Strandgade 3
1401
København K
Danmark
Tlf
+45 7033 3333
Praktisk information
Oprettet
16-09-2021
Udløber
21-10-2021
Kviknummer
330831074
Jobtype
Fuldtid
Arbejdsområde
Finans, forsikring og økonomi
Stillingsbetegnelse
Risk Manager
Erfaringer - I højere grad
Risikohåndtering, Risikostyring
Sprog
Dansk Læse/ tale

Job ID: 2433
Job Country: Denmark
Job City: Copenhagen


We seek a curious, analytical and self-driven colleague to join our dedicated team working with development of Counterparty Credit Risk (CCR) applications , for all of Nordea Bank. We are both specialists and all-rounders, from varied backgrounds with risk management at the centre. We play an important role driving and delivering the future CCR infrastructure to meet challenging demands from both regulators and business. You'll enjoy working across divisions and will be empowered to deliver tangible results. .

About this opportunity

We in the CCR Infrastructure team add value by continuously developing the CCR applications to the best possible standard. We provide specialist and risk-focused business partnership to IT developers, working agile, ensuring that the solutions which add maximum value are delivered.
What you'll be doing:

  • Contribute to Nordea's internal risk model solution, supporting the ongoing high standards of model development and contribute during onsite inspections
  • Drive fulfilment of solutions to various risk management needs, from creating capital value to fulfilling regulatory laws and internal controls and supporting the transitional steps.
  • Drive and support projects - participate , plan and drive large and small projects - achieving the best possible result within the constraints of resource and priority.
  • Collaborate with stakeholders and technology, internal and external.
  • Analysis - pilot studies - impact studies - estimation and publication of results
  • Quality assurance - testing and automation - ensuring high quality and successful production rollouts and investing in future automated testing
  • Validate - we learn and comply with rules set by our internal and external regulators for relevant systems, data and processes. We self-regulate and are able to respond to their questions and demonstrate compliance.

Who you are

To succeed in this role, we believe that you are:
  • Self-motivated with a desire to add value
  • Proactive, taking ownership of assignments and seeing them to completion.
  • An effective communicator in both informal and formal settings
  • Curious, analytical, a self-learner who is eager to try new things.
  • Thorough and committed to the task, taking responsibility while maintaining high professional standards of spoken, written and numerical work.
  • Adaptable to change and manage your time effectively.
  • A positive character - willing to bring forth your ideas and listen to those of others.
  • You're honest and dependable, courageous to speak up even when it's difficult, and committed to empowering others. You're passionate about doing a great job.
Your background:
  • You have a relevant Master's degree, preferably in economics or finance combined with at least 2 years of relevant work experience. Ideally this experience includes working in banking; with OTC derivatives, securities financing products; or in a risk management discipline. Alternatively, you could have experience working with infrastructure, functionality, testing, governance or data in the banking and finance industry.
  • Superior skills in Excel and Microsoft office are required and experience with coding language is an advantage.
  • You will be fluent in English.
  • You are eager to increase your competencies.

If this sounds like you, get in touch!

If this sounds like you, get in touch!

Ansøg nu
Virksomhedsinformation
Nordea
Strandgade 3
1401
København K
Danmark
Tlf
+45 7033 3333
Praktisk information
Oprettet
16-09-2021
Udløber
21-10-2021
Kviknummer
330831074
Jobtype
Fuldtid
Arbejdsområde
Finans, forsikring og økonomi
Stillingsbetegnelse
Risk Manager
Erfaringer - I højere grad
Risikohåndtering, Risikostyring
Sprog
Dansk Læse/ tale
Beliggenhed