Financial and Actuarial Mathematics, TU Wien, Austria TU Wien FAM
 
2014-05-18

STELLE NICHT MEHR VAKANT - BITTE NICHT MEHR BEWERBEN!!!

Are you open to new ideas, do you value creative freedom and live for cultural diversity? Do you desire mutual trust and responsibility? Would you like to work in a bank that has grown over 125 years and is active as a leading commercial and investment bank in Austria and Central and Eastern Europe (CEE)? Then you’ve found just the right place at Raiffeisen Bank International (RBI).

Freelancer (f/m) - Market Risk Management

Market risk management (MRM) is part of the RBI Risk Controlling Division and performs group risk management function (measurement, analysis, reporting and steering) for all market risks (Foreign Exchange, Interest rate, Credit Spread, Equity, Commodity, Option and Correlation risks) of RZB and RBI group.

Your tasks:

  • Support of daily risk management process
  • Market and reference data scrubbing
  • Update of documentation
  • Analysis and reporting tasks

Your qualification:

  • Active student of economics, (business) informatics, mathematics, statistics
  • Economical education with focus on financial markets or risk management and/or (quantitative) financial education
  • Financial market knowledge (products, markets)
  • Knowledge of information systems (Bloomberg, Reuters) is an advantage
  • Tool skills (Excel, SQL, etc)
  • Resultorientation, assertiveness
  • Analytic thinking, problem solving skills
  • Business level command of English
  • Communications skills
  • Ability to work under pressure and flexibilty
  • Team player

Your benefits:

  • Join our dynamic and motivated team in one of the leading banking groups in Austria and Central and Eastern Europe
  • 15 - max. 30 hours/week
  • flexible working hours

We are looking forward to receiving your online application!
https://jobs.rbinternational.com/

Bei der Bewerbung bitte auf die FAM-jobs Seite verweisen.