Compliance Officer – Asset Management

  • Location: Luxembourg
  • Salary: Competitive
  • Organization: Asset Management

Tier 1 Investment Bank in Frankfurt is looking for a Market Risk Analyst to join their expanding Risk team.

The Role:

  • Compile new internal and regulatory requirements, propose an implementation concept, write specifications, accompany IT implementation, test the implemented changes, configure the database and introduce changes — in close cooperation with internal clients, model experts and IT
  • Development of methodologies and procedures for market risk management on transactions of the financial markets and of the investment bank
  • Development of the interaction of divisions within the established limits, financial monitoring and control of financial transactions
  • Analysis and evaluation of complex transactions and products on global markets in terms of the risk appetite
  • Support and development of tools necessary for the risk assessment of banks, financial companies and corporate clients
  • Interaction with the departments of the Bank on methodological issues in the field of risk management

The Background:

  • Bachelor or M.A./ M.S. in mathematics, computer science or finance / business administration or comparable courses of studies
  • At least two years of practical experience in Market Data Management, Market Risk Management, Finance or Corporates & Markets
  • Experience in market data management, especially modelling and configuration of data , compilation of specifications and test of IT changes
  • Experience with market data vendors Bloomberg, Thomson Reuters and Markit
  • Fluency in  English
  • Analytical and organizational skills
  • FRM, CFA certificates is a PLUS
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