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Data  anunțului Data expirării   Detalii
10.07.2022 30.07.2022
09.06.2022 09.07.2022
08.06.2022 08.07.2022
06.06.2022 06.07.2022
04.06.2022 04.07.2022
02.06.2022 02.07.2022
31.05.2022 31.06.2022
 
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18.04.2022 18.05.2022
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15.04.2022 15.05.2022
12.04.2022 12.05.2022
The European Central Bank has launched: Financial Risk Analyst – Risk
Modelling and Valuation [1].
Please share these opportunities with your students by forwarding the
email to relevant departments/professors, alumni networks, posting the
vacancies on job portals or printing them out and showcasing them in
display windows.
GENERAL INFORMATION
TYPE OF CONTRACT: Fixed-term contract, which may be extended subject to
individual performance and organisational needs
WHO CAN APPLY?: EU nationals
SALARY: E/F (1) (minimum full time monthly net salary €4,229 and
benefits, see further information section)
ROLE SPECIALISATION: Financial Risk Modelling
WORKING TIME: Full time
PLACE OF WORK: Frankfurt am Main, Germany
CLOSING DATE: 21.04.2022
YOUR TEAM
You will be part of the Risk Strategy Division in the Directorate Risk
Management. Our Directorate has 56 staff and is responsible for
proposing policies and procedures that ensure an appropriate level of
protection against financial risks for (i) the ECB in the conduct of
financial market (i.e. investment) operations, and (ii) the Eurosystem
in the conduct of monetary policy operations.
In the Risk Strategy Division, we design and maintain risk management
frameworks and policies for the Eurosystem’s monetary policy
operations. We also analyse structural developments in financial markets
and financial regulation, as well as climate change policy, to identify
potential implications for the Eurosystem’s risk management
frameworks.
The ECB is an inclusive employer and we strive to reflect the diversity
of the population we serve. We encourage you to apply irrespective of
age, disability, ethnicity, gender, gender identity, race, religious
beliefs, sexual orientation or other characteristics.
YOUR ROLE
As a Financial Risk Analyst, you will:
* contribute to the implementation of risk management projects in the
context of the Eurosystem’s credit operations and non-standard
monetary policy measures (e.g. as regards eligibility requirements for
collateral, the valuation of collateral, haircuts and climate change
risks);
* support analytical work within the Risk Strategy Division, including
the preparation of analytical input for the development of the
Eurosystem’s risk control frameworks and policies;
* design and maintain valuation methods for collateralised operations
and outright purchases of financial assets;
* develop and maintain liquidity and market risk management models and
prepare analysis based on model simulations;
* develop and maintain IT applications and tools, working with complex
financial databases.
This position will offer excellent opportunities to leverage your
passion for the modelling of financial risk, working closely with other
business areas across the ECB, as well as the national central banks of
the Eurosystem and market participants. You will be part of a dynamic
multicultural team with a wealth of business-related and technical
expertise that strives for continuous innovation to make a positive
impact on the lives of European citizens.
We will provide a wide range of training to support you in your further
professional development.
QUALIFICATIONS, EXPERIENCE AND SKILLS
ESSENTIAL:
* a bachelor’s degree or equivalent in accounting, business
administration, computer science, economics, econometrics, finance,
physics, mathematics, statistics, a different STEM subject or another
relevant field (click here for details on degree equivalences [2]);
* in addition to the above, a minimum of one year of professional
experience (which can include traineeships) in the field of risk
management, which should include experience of devising financial risk
models and fixed-income valuation methods to control risk exposures
(e.g. statistical distributions, volatility modelling, and value-at-risk
and yield curve modelling);
* practical experience of:
* using data management languages such as SQL at an advanced level;
and
* developing and maintaining risk modelling tools using Python, Matlab,
R or C (at least one of them at an advanced level);
* a solid understanding of the Eurosystem’s risk management
framework;
* experience of drafting concise reports, analytical notes and
briefings, coupled with strong presentation skills;
* an advanced (C1) command of English and an intermediate (B1) command
of at least one other official language of the EU, according to the
Common European Framework of Reference for Languages [3].
DESIRED:
* a master’s degree and/or professional certification in the area of
finance or risk management (e.g. CFA or FRM);
* knowledge of climate change and its implications for financial risk
management;
* a good knowledge of market information services such as Bloomberg or
Reuters.
You engage collaboratively with others. You pursue team goals and learn
willingly from other people’s diverse perspectives. You signal any
need for change by explaining it and proposing alternative solutions.
You analyse complex information effectively and can evaluate different
views to arrive at solutions. You know and anticipate stakeholder
needs.You are motivated to be part of our team and to develop and use
your skills and competencies to achieve the objectives of this position.
FURTHER INFORMATION
Temporary appointments may be extended or made permanent subject to
organisational needs and budgetary constraints. This may result in a
staff member with a non-convertible fixed-term contract being offered a
convertible contract in accordance with the ECB Conditions of
Employment.
The contract offered will be fixed-term, the appointment being for two
years as of the exact starting date of the selected person.
For additional information on this specific vacancy, you can contact
Gonzalo Camba-Méndez, Senior Team Lead in the Risk Strategy Division
(Această adresă de email este protejată contra spambots. Trebuie să activați JavaScript pentru a o vedea.), indicating the reference number
for this recruitment campaign (4931) in the subject line of the email.
APPLICATION AND SELECTION PROCESS
The recruitment process for this position will be conducted remotely. It
will include a written exercise, a presentation and interviews.
If you are not selected for this position but are still considered
suitable, you will be placed on a reserve list (see step 4 of how we
hire [4]), from which you might be considered for similar positions
within the ECB.
Find out how to apply [5] for a position at the European Central Bank.
Read more about joining us [2].
Kind regards,
THE EUROPEAN CENTRAL BANK
(If you would like to unsubscribe from these updates, please reply to
this e-mail and we will take you out of our mailing list.)
Any e-mail message from the European Central Bank (ECB) is sent in
good faith, but shall neither be binding nor construed as constituting a
commitment by the ECB except where provided for in a written agreement.
This e-mail is intended only for the use of the recipient(s) named
above. Any unauthorised disclosure, use or dissemination, either in
whole or in part, is prohibited. If you have received this e-mail in
error, please notify the sender immediately via e-mail and delete this
e-mail from your system. The ECB processes personal data in line with
Regulation (EU) 2018/1725. In case of queries, please contact the ECB
Data Protection Officer (Această adresă de email este protejată contra spambots. Trebuie să activați JavaScript pentru a o vedea.). You may also contact the
European Data Protection Supervisor.
22.02.2022 15.03.2022
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