Offer summary
Qualifications:
Degree in finance, economics, or related field, Interest in investment risk management, Good analytical and problem-solving skills, Familiarity with Excel, SQL, Python and Matlab preferred, Knowledge of AI/machine learning techniques preferred.
Key responsabilities:
- Identify and monitor counterparty risks
- Automate and streamline existing processes
- Support credit analysis for financial institutions
- Develop risk-reporting templates and periodic reports
- Contribute to liquidity and leverage risk metrics