Risk Management - Risk analyst (M/F)
Reference96i3osvdri
LocationLuxembourg
Business areasAccounting / Finance & Banking / Insurance
Type of ContractIntérim (2 mois)
Company description
Sofitex Talent Recruitment
Fort d'une expérience de plus de 30 ans dans les Ressources Humaines, Sofitex est un réseau international de Travail Temporaire et de Placement en CDI. Sofitex fonde sa dynamique et son succès sur le professionnalisme de ses équipes, sa forte réactivité et sa proximité.
Job description
For one of our clients, a European Institution located in Luxembourg Kirchberg, Sofitex Talent is currently looking for a :
Risk Management - Risk analyst (M/F)
The incumbent(s) report to and work under the supervision of senior members of the Portfolio Credit Risk and Surveillance Unit.
Purpose
The Risk Analyst will contribute to the automation of various reporting processes within the portfolio credit risk management and surveillance unit
Responsibilities
• Assess, identify and implement automation solutions for reporting on risks and risk metrics associated with the Debt Risk Portfolio of the institution, across its different business lines (i.e. Securitizations, Portfolio Guarantees, Private Credit, Inclusive Finance).
• Analyse risk data usage in various institution processes, streamline data sourcing through various systems and implement rules to ensure data quality and availability to various services.
• Assist on the inception, development and closing of different relevant projects and initiatives impacting the division, including, inter-alia: ensuring alignment and coherence of reporting data retrieved by the institution on its different debt business lines, and ensuring consistent alignment to best practices of debt risk reporting.
Required profile
Qualifications
• A minimum of three (3) years’ relevant professional experience in Risk Management or the Financial Sector industry.
• University degree, preferably at post-graduate level, in Mathematics, Statistics, Finance, Banking, Economics, Engineering, or related subjects. Additional professional or academic qualifications (i.e. CFA, CAIA, Ph.D., M.Sc.) would be considered an asset; Experience in guarantees and securitizations operations or in SME, Commercial and Consumer Risk would be considered an advantage; Advanced use of standard computer tools (mainly in Excel); Knowledge of programming code, exposure with databases and large datasets is an advantage.
• Excellent knowledge of English. Knowledge of other EU languages would be an advantage
Competencies
• Strong analytical and drafting skills;
• Good interpersonal skills for dealing with internal and external contacts;
• Willingness to quickly learn risk metrics in the context of investments in the institution’s business lines;
• Ability to manage conflicting deadlines;
• Sense of initiative and innovation in proposing solutions;
• Outstanding judgment;
• Team player.
This is an opportunity for an initial contract of 2 months, with possible extensions afterwards.
Salary ranges between 4500€ and 6400€ gross per month, depending on experience.
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