Conduct initial and ongoing reviews of clients, debtors and exposures
Analyze and assess credit and financial risks
Monitor risk positions and derive recommended actions
Prepare and further develop risk reports, KPIs and presentations
Contribute to methods and processes in risk controlling
Work closely and manage interfaces with market teams, Operations and Financial Controlling
Contribute to the continuous improvement of risk and decision-making processes
Requirements
Completed degree in Business Administration, Banking, Finance, Mathematics, Physics or a comparable field (alternatively: strong banking qualification with relevant additional certification, e.g., CFA or FRM)
Experience in assessing credit risks or in risk management at a financial institution
Solid knowledge of regulatory requirements, particularly MaRisk
Confident use of BI tools and SQL
Analytical, structured and solution-oriented way of working
Very good German skills (C1/C2) and good English skills (C1)
Tech Stack
SQL
Benefits
Competitive, market-based compensation
Hybrid working: Karlsruhe — remote or hybrid options
Professional development opportunities in the risk and credit environment