Capital & Risk Analyst, Nordea, Stockholm
Nordea Bank AB / Bankjobb / Stockholm
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hela Sverige As a Capital & Risk Analyst in the new and growing unit Group Functions Information & Reporting (GFIR), you get an excellent opportunity to be involved from the very start and form a strong team, with clear objectives to deliver outstanding value for Nordea in accordance with the new operating model.
The position we offer
GFIR is performing both regulatory and business reporting on behalf of various frameworks owners within Nordea and we also act as the link between Business and IT. Our mission is to develop and maintain common information and reporting through unified processes, organisation and platform.
This position will offer you an insight into the capital and liquidity management area, a field which is in high focus in the international financial industry due to all the new regulatory reporting requirements. You will learn about Nordea's customers, products and processes from a risk, capital and liquidity perspective and based on this knowledge be part of the balance sheet reporting in Nordea.
The team Regulatory Reporting is placed in the Group Functions Information & Reporting Unit and is based in Stockholm. The open position is within the Portfolio Analysis reporting team as a Senior Capital & Risk Analyst. This includes reporting of capital keys figures such as REA both during monthly management reporting and quarterly reporting to the local FSAs. The role will also take on reporting of securitization and related project tasks.
Further tasks include participation in various projects, aiming to develop current processes and participation in quantitative impact studies issued by the FSAs/EBA. You will also follow the development in regulatory requirements and be part of the developing and testing of these requirements.
The qualifications you need
Given the large scope of the team, there will be a variety of challenges. In order to succeed you will independently need to build your own skill set through leveraging on expert knowledge, risk modelling, accounting, performance management etc. This requires that you possess excellent communication skills and that you are curious, driven and good at building relationships.
In addition to be able to provide value adding analysis you need to have knowledge of risk management and financial analysis, and aspire to take on new challenges. An academic degree in economics or finance, statistics or other mathematical major, engineering, computer science is a requirement. To be able to take on a senior role, we would like you to have previous working experience of between 3-6 years.
You also need to be fluent in English, both speaking and writing. No need to speak any Scandinavian language. Additionally, the right candidate should have advanced knowledge of MS Excel, and knowledge of SAS or VBA will be an advantage.
More information and send application
For further information about this job please contact Petter Agestam,
petter.agestam@nordea.com , or (+46) 072-148 27 22.
Please apply for the positions through Nordea's online application system on nordea.com/career. The last day of application is 2016-08-21.
For union information please contact Lars Oddestad (Finansförbundet) +46 70-235 35 65 or Björn Colliander (Saco) +46 70-354 70 05, please note they can't answer questions specific to this recruitment.
Varaktighet, arbetstid
Tillsvidare
Heltid
Publiceringsdatum2016-07-20ErsättningFast månads- vecko- eller timlön
Så ansöker duSista dag att ansöka är 2016-08-21
Please submit your application at nordea.com/career
FöretagNordea Bank AB
AdressNordea Bank AB
Smålandsgatan 17
10571 STOCKHOLM
KontorsadressSmålandsgatan 17
Stockholm
Övriga kontaktuppgifterTelefonnummer: 0771-224488
Jobbnummer 2961672
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