Designing and implementing financial risk management solutions for our financial clients, both locally and internationally
Actively contributing to regulatory compliance projects (CRR/CRD IV and IFRS9) for banks and investment firms
Conducting modelling and/or, independent reviews and validation of risk models (incl. credit, liquidity, market, climate) and related risk management processes
Assist our clients in the preparation of Regulatory Reporting (COREP, FINREP ..)
Relying on your knowledge, experience and communication skills to deliver outstanding quality services to clients
Developing cohesive conclusions and participate in the report writing, analysis and presentation of results to clients
Requirements
Master's degree in business administration, quantitative finance, engineering, econometrics or related studies
Have a first experience in financial risk management and modelling (credit, liquidity, IRRBB)
Excellent analytical and logical problem‑solving skills
Be rigorous, quality driven, result-oriented with excellent data mining skills
Strong interpersonal and communication skills
Possess strong command of VBA, Excel, Word and PowerPoint
Be fluent in French and English.
German is considered as an asset
Knowledge of banking industry and risk-related regulation (esp. CRR/CRD IV) and/or IFRS9 accounting standards is a plus
Coding skills (e.g. Python, SQL, SAS, R) are an asset
Tech Stack
Python
SQL
VBA
Benefits
Career growth, your way
Access top-notch training and career development, with a clear progression path to help you level up at your own pace.
Global impact, local connections
Work on international projects and collaborate with diverse teams, all while making an impact locally.
Wellness and team spirit
Enjoy access to fitness facilities, sport clubs, and flexible work schedules to stay healthy and engaged.
Build your network
Gain access to our global network of professionals and notable alumni and attend industry events to connect and grow your professional circle.