
at Raiffeisen Bank Capital Markets & Investment Banking
Investment BankingPosted 7 days ago
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**Risk Manager (f/m/x) - Market Risk Management** надзирать за вычислением индикаторов риска на рынке ("Market Risk Production"), гарантировать слаженную работу системы расчета рисков, участвовать в усовершенствовании модели оценки рисков на рынке для расширения аналитических возможностей, обрабатывать исходные данные (рыночные, данные о финансовых инструментах и позиции), разрабатывать и внедрять процессы проверки и валидации данных, служить точкой контакта для услуг по оценке рисков на рынке, внутренних и внешних клиентов и принимать участие в интересных проектах. деньгам, анализе рисков на рынке, финансовых инструментах, операциях с техникой, программировании на R, использовании Excel, SQL, бизнес-интеллектуальных инструментах.
- Compensation
- €62,500+ EUR
- City
- Vienna
- Country
- Austria
Currency: € (EUR)
Full Job Description
Would you like to be part of the asset manager of Raiffeisen Banking Group, which has established itself over the last 30 years as one of the leading investment companies in Austria? If so, Raiffeisen Capital Management (RCM) is the right place for you! To strengthen our Risk Management Team, we are currently looking for a dedicated, proactive individual with analytical and quantitative skills, attention to detail and a passion for analyzing detailed aspects of market risk management.
Your role at RCM:
- Oversee the calculation of market risk indicators ("Market Risk Production").
- Ensure seamless operation of the market risk system.
- Contribute to the development and enhancement of the market risk model to improve analytical capabilities.
- Be responsible for pre-processing of input data, including market, instrument and position data.
- Develop and implement upstream and downstream validation processes.
- Be the point of contact for "Market Risk Services" for internal as well as external customers and actively participate in exciting projects.
Your core competencies:
- Academic education and relevant professional experience in market risk analysis.
- Knowledge of financial instruments, risk modelling and risk measurement of securities portfolios.
- Experience in design and operation of technical workflows.
- Proficient in the use of R, Excel, SQL and business intelligence tools (esp. Power BI)
What's in it for you:
- Career growth: We believe in continuous learning and proactive career development. Take on challenging work that stretches your abilities, attend trainings, and use new technologies to make a lasting impact.
- Stay healthy: Subsidized canteen, well-being programs, check-ups, and sport allowances.
- Work-Life-Balance: Flexible hours, work-from-home from Austria up to 2 days / week, and 30 days/year remote work from any EU country.
- Save money: Discounts, exclusive banking terms, and a heavily subsidized public transport pass.
- Family support: Child allowances, gender-neutral parental leave, bilingual company kindergarten, and holiday childcare.
- Competitive salary: Starting at EUR 62.500,- gross p.a. including overtime, with market-compliant overpayment based on experience and qualifications. We are happy to discuss your actual salary in person.
| If you have questions regarding our application process, feel free to check out our FAQ or our page for international applicants.
Your contact: Zuzana Presalovicova |




