What we are looking for
- People with an interest in topics relevant for financial markets e.g. banking/ insurance, financial instruments (e.g. derivative financial instruments, stock traded instruments), econometrics (e.g. building or applying economic models for business purposes such as valuation of derivative financial instruments, and credit risk measurement at individual or portfolio level).
- Undergraduate and/ or Postgraduate studies covering topics related to the financial markets (e.g. FABBV, DOFIN).
- Analytical mindset: Strong analytical and problem-solving skills
- Communication skills: Verbal and written communications skills in Romanian and English
What do we do
We, the Governance, Risk & Reporting Team, offer a broad range of financial risk management advisory services to assist financial institutions and corporates identify, measure, manage, and report the risks they face in their daily activities.
Our projects cover the full spectrum of financial risks (e.g. credit risk, market risk, operational risk and liquidity risk) and risk related issues, such as economic capital quantification, stress testing, risk modelling and validation or regulatory.
What would you do
As part of our team, you will be involved in a diversified range of advisory projects, including but not limited to valuation of derivative financial instruments and implementation of hedging models, gap analysis vs. new standards, regulations and guidelines issued by local and European authorities, development of implementation roadmaps, as well as assistance during implementation e.g. development of internal models, policies and procedures, definition of functional specification for IT system development, etc.
Your role will entail also understanding client challenges and proposing value-added solutions, turning your work intro client-friendly deliverables, building and maintaining strong working and business relationships.