Financial Risk Management Specialist
The mission of our team is to provide transparent and dynamic analysis and monitoring of market, counterparty, valuation and liquidity risks.
Our team reviews processes and develops light IT solutions to automate risk management processes and analysis dashboards. Projects are undertaken within predefined environments and guidelines, focusing on improving user experience and data utilization.
The role involves maintaining existing tools, leading new developments, collaborating with risk managers to optimize data visualization and workflows, and adhering to coding best practices.
Required Skills:
* Understanding financial risk management with attention to detail.
* Processing large information sets and ensuring relevant presentation.
* Incorporating client feedback to enhance products and services.
* Anticipating client needs and managing time effectively.
Profile And Skills To Success:
* Interest in the financial industry and risk management understanding.
* Experience in financial markets and risk management is advantageous.
* Master's degree in Finance, Mathematics, Science, or Engineering.
* 2-5 years of relevant data analysis experience.
* Proficiency in Python, with knowledge of numpy, pandas, etc.
Benefits:
* Leading European banking institution with international reach.
* Presence in Portugal since 1985 with over 8,700 employees.
* Commitment to diversity, inclusion, work/life balance, and flexible remote working conditions.
For more info, visit BNP Paribas website.
Please note applications must be in English. Further documentation will be requested if selected.