What You Will Do
margin parameters calculation depending on the type of CCP’s cleared products
back tests and Liquidity Risk controls
support and reporting to Regulators, ISVs, Members and Clients
review and development of functional and normative documentation
active Risk Management (Limits controls)
new products’ methodology development
What You Bring
degree in Economics, Business Administration or similar
minimum of 2 years of experience. Risk Management background experience is preferably
finance or Finance Markets Masters or Certifications (FRM, CF or similar) are a plus
professional Office and Data Base access skills (SQL Server). Power BI, Python and / or VBA are desirable
proficiency English level is a must
For this vacancy we only accept direct applications.
Diversity is important to us. Therefore, we are looking to receiving applications regardless of any personal background.
Flexible Work Models
We trust our employees and offer a work environment that is well-balanced, productive and fosters success.
You will benefit from a culture of continuous learning and feedback. Your personal growth is supported through an extensive learning offering.
Agile Working Methods
Whether through scrum or design thinking,
we solve exciting tasks together in teams.