Financial Risk Officer developing risk methodologies for Deutsche Börse Group's financial products. Collaborating on quantitative models for risk assessment and regulatory compliance within a structured team environment.
Responsibilities
Challenge, maintain, and enhance the risk methodology for existing financial risk drivers (credit, market and liquidity)
Develop frameworks for both adequate stress scenarios and rigorous back tests to continuously evaluate a model’s performance
Design and implement new models for financial risk drivers in a sandbox environment using Python
Support advisory and testing activities during the final productive IT implementation carried out by a dedicated IT developer team
Work collaboratively within the Financial Risk team
Requirements
University degree in a financial or quantitative discipline
Relevant work experience, preferably in risk/pricing model development or validation
Good understanding of financial markets and financial products as well as the regulatory landscape (MaRisk, ICAAP, ILAAP, CSDR) and its interrelation (ICAAP vs. CRR vs. CSDR)
Sound knowledge of statistical and econometric methods and their application
Efficient team player with a high degree of organizational self-reliance and good communication skills
Adept in MS Office usage, a level of programming and database experience would be useful (e.g. Python, SQL)
Proficiency in written and spoken English
Benefits
Hybrid Work and Flexible working hours
Work from abroad - 12 days of remote work from EU countries per year
Pension fund contribution - 3% of your gross salary (5% after 5 years with us)
Health & Wellbeing - fully covered Multisport card, life & accident insurance, sick days and 100% salary contribution during sick leave (up to 56 days)
25 vacation days
Mobility - fully covered public transport in Prague & free parking
Flexible Benefit Account (Pluxee) - 1200 per month
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