Senior Risk analyst at Danske Bank
1060 København, Region Hovedstaden, Denmark -
Full Time


Start Date

Immediate

Expiry Date

10 May, 25

Salary

0.0

Posted On

11 Feb, 25

Experience

0 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Python, Reporting, Finance, Market Risk, Economics, Models

Industry

Banking/Mortgage

Description

Are you ready to join a team that is deeply involved in guiding the path of risk management at Danske Bank? Do you want to be an integral part of assessing and managing interest rate risk within Denmark’s largest balance sheet? If so, this opportunity with the Market Risk Department is ideal for you!

WHO ARE WE LOOKING FOR?

We are seeking a candidate with a degree in Finance or Economics, with an emphasis on financial products and models. Experience with, or a keen interest in, programming is essential. You should have a keen interest in market risk and be willing to dive into the intricacies of financial models.

  • A profound interest in market risk.
  • An interest in understanding financial models.
  • A desire to code, particularly in Python, and develop controls.
  • An interest in learning new calculation systems.
  • The ability and readiness to analyse interest rate risk and work with data.
  • An interest in reporting, controlling, and validating data.
Responsibilities

As an analyst, you will take part in determining how we manage interest rate risk in the banking book. You will participate in projects and initiatives that are central to our purpose. Your responsibilities will include:

  • Participating in projects aimed at developing interest rate risk in the banking book.
  • Understanding and reporting on interest rate risk in the banking book.
  • Playing a central role in ensuring compliance with regulations and effective internal market risk management.
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