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Leading specialist of the Financial Risk Management* in Nacionalniy bank Ukrayini

4 December

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Nacionalniy bank Ukrayini

Nacionalniy bank Ukrayini

0
0 reviews
Without experience
Kyiv
Full-time work

Translated by Google

Functional tasks:Collection and analysis of financial market data, including historical data and current market conditions.Monitoring market risk limits;Participating in the development of risk management strategies, including setting limits and developing methods for their minimization;Interaction with IT specialists to implement new systems and applications for risk management;Preparation of reports and analytical materials on market risk management.We offer:Interesting tasks and new challenge

Functional tasks:

  • Collection and analysis of financial market data, including historical data and current market conditions.
  • Monitoring market risk limits;
  • Participating in the development of risk management strategies, including setting limits and developing methods for their minimization;
  • Interaction with IT specialists to implement new systems and applications for risk management;
  • Preparation of reports and analytical materials on market risk management.

We offer:

  • Interesting tasks and new challenges;
  • Opportunity to be involved in the development of the country;
  • Opportunity for career development and gaining unique experience in a stable and transparent organization;
  • Market level of remuneration, bonuses based on performance evaluation (KPI);
  • Flexible work schedule;
  • Participation in corporate events, sports initiatives;
  • A team of like-minded people who strive to achieve a common ambitious goal.

Our expectations from the candidate:

  • Experience of 1 year in the banking field, preferably in the field of risk management;
  • Higher education in the field economics, finance, mathematics or related fields;
  • Proficiency in English at the level necessary to work with international standards and literature;
  • Ability to analyze data, identify trends, make forecasts and estimate probabilities;
  • Ability to visualize and structure information about risks;
  • Understanding different types of financial risks (market risk, credit risk, liquidity etc.).
  • Ability to analyze large volumes of information, identify patterns and draw reasonable conclusions;
  • Understanding the principles of functioning of financial markets and types of financial instruments;
  • Knowledge of the basics of mathematical models for risk assessment;
  • Knowledge of banking information systems and software for working with data and analytics.


In case of equal conditions regarding the suitability of the candidate's experience, qualifications, knowledge and security, when making a decision on the selection of candidates for vacant positions, preference is given to:


candidates, if it is provided for by the legislation of Ukraine.

Translated by Google

Without experience
Kyiv
Full-time work
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