
What will you do?
- Minimum 2 years of risk management experience (Credit, Market, Operational, Liquidity or AML relevant risk) at one or more Financial Services or Corporate Institutions such as Universal/Investment bank, Broker-Dealer, Rating Agency, Energy/Telecom corporate entity or Professional Services/Risk Advisory
- Industry certifications such as FRM, PRM, CQF, CFA preferred
- Digitally savvy and conscious of new technologies; continuous learner; knowledge of programming languages (R, SAS, VBA, SQL, PYTHON) would be a great supplement
- An understanding of risk regulatory framework of one more of the major economies across globe: Knowledge of Basel III and IV principles and practices, ICAAP, MIFID, FRTB, GDPR, IFRS 9, Anacredit, etc.
- Experience across risk platforms and technologies/products such as Bloomberg, Reuters, Sungard, Murex, Algorithmics, Moody’s, eFront, OFSAA
- Strong communicator; fluency in English is required, additional language capabilities are highly advantageous
- Willing to travel and work at international client sites when circumstances allow
What are we looking for?
- Due to COVID-19 global situation we are delivering our work remotely. Knowing that our Capability Network model is based on traveling and serving advisory working closely with our Clients, willingness and ability to work at client’s locations mostly across Europe, but also other locations, for short or long term is still required if pandemic situation will change.
- Headquarter: Warsaw or Cracow or Wrocław Office as primary place of work, but now we are working from home due to pandemic situation
Our offer?
Challenging job in a dynamic, professional, international and multicultural environment
Opportunity to gain rare on Polish market skills, knowledge and experience gained on international projects
Access to best know-how, unique knowledge and trainings
Opportunity to work with global top clients from Fortune 500 on large scale projects