Jr. Analyst to Market Risk Control team, banking sector, Helsinki
at Academic Work
Helsinki, Etelä-Suomi, Finland -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 05 Sep, 2024 | Not Specified | 05 Jun, 2024 | N/A | Communication Skills | No | No |
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Description:
We are now seeking a motivated Junior Analyst to join our client’s Market Risk Control team within the banking sector in Helsinki. This is a rare and highly regarded opportunity to gain hands-on experience in market risk management. Your enthusiasm for data analysis, risk assessment, and financial instruments, coupled with your initiative and excellent communication skills, will be key to your success. Read more below and apply today!
About the role
As a Junior Analyst, you will play a crucial role in controlling and monitoring trading and banking book risks. You will be involved in daily risk management tasks covering a wide variety of financial products. Your day will be divided between performing routine risk assessment tasks and engaging in development projects. You will prepare risk analysis for stakeholders, committees, and regulators, and support the development and enhancement of risk processes. Your ability to communicate findings to stakeholders and ensure data accuracy will be essential to your role.
YOU ARE OFFERED
- A valuable opportunity to gain work experience in a global organization
- An inspiring and supportive team
- Hybrid work (3 days at the office a week)
Work tasks
- Daily control and reporting of market risks across the trading and banking book
- Preparing risk analysis for stakeholders, committees, and regulators
- Providing relevant market risk reporting for trading desks, service desks, and trading management
- Building new and maintaining existing risk processes using tools like SQL, VBA, and Python
- Cooperating with stakeholders from front office, back office, and IT teams
We are looking for
- Relevant educational background in IT, finance, economics, mathematics/statistics, sciences, or engineering
- Prior experience working with Python and SQL
- Fluency in English, spoken and written
- Strong interest in market risk management and financial instruments
- Understanding of financial instruments like bonds and equity
- Interest in operating within financial markets, middle office, and risk management
- Interest in understanding market risk models and market risk dimensions stemming from approved products, market dynamics, and the business models
Responsibilities:
TO SUCCEED IN THE ROLE, YOUR PERSONAL SKILLS ARE:
- An analytical and curious mindset
- An independent work approach and ability to take responsibility
- A problem-solver mentality and excellent communication skills
Work tasks
- Daily control and reporting of market risks across the trading and banking book
- Preparing risk analysis for stakeholders, committees, and regulators
- Providing relevant market risk reporting for trading desks, service desks, and trading management
- Building new and maintaining existing risk processes using tools like SQL, VBA, and Python
- Cooperating with stakeholders from front office, back office, and IT team
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Finance
Graduate
Proficient
1
Helsinki, Finland