Analyst - Financial Risk Management

What we offer
  • Challenging work in an experienced and motivated team
  • Gain experience about risk management advisory from professionals
Key responsibilities
  • Participate in various projects in the banking and insurance sector related to risk management, regulatory compliance, risk modelling and monitoring.
  • Managing variant tasks among the whole project life cycle such as, 
  • Proposal and delivery writing and its administration,
  • Research and analysis, 
  • Participation in client meetings and memo writing
Our business practice includes
  • Basel III, MiFID II and Solvency II regulatory compliance
  • Development of risk management frameworks, processes, tools
  • Modelling capital requirement on various risk types
  • Development of credit risk scorecards
  • Performing AML/KYC related activities
  • Developing innovative solutions using RPA and machine learning technologies
  • Further bank specific advisory
  • University degree (BSc or MSc studies in Economics, finance or investment analysis specialization is an advantage)
  • Fluent written and spoken English and Hungarian
  • Basic knowledge of banking regulation, products and financial statements
  • Strong analytical and quantitative skills
  • Good communication and writing skills
  • Ability to solve complex tasks independently 
  • Quick adaptation to changing environment and endurance in executing repetitive tasks
  • Ability and willingness to learn and deliver in a challenging environment
  • Good computer skills (Word, Excel, PowerPoint)
  • Knowledge of data mining / statistical software is an advantage
  • Working / intern experience at banks is an advantage