Hybrid Liquidity Risk Manager, Young Professional

Posted 3 hours ago

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About the role

  • Liquidity Risk Manager working on financial model development and risk reporting in Vienna. Collaborating with Treasury and Accounting on compliance and IT projects.

Responsibilities

  • Further development of liquidity risk modeling
  • Analysis and improvement of product mapping for customer and capital markets products
  • Preparation of risk reports, analysis of risk positions, and limit monitoring
  • Analysis and implementation of new regulatory requirements
  • Participation in IT projects, e.g., implementation and data integration of new ALM software
  • Point of contact in risk management for Treasury, Accounting, and regulatory reporting

Requirements

  • Degree in economics/business, a technical discipline, or natural sciences
  • Experience with financial products; knowledge of Austrian customer products is an advantage
  • MS Access, VBA, and SQL skills
  • Strong analytical skills and an understanding of complex interrelationships
  • Initiative and a responsible approach to work
  • Results-oriented with strong execution skills
  • Excellent German and English language skills

Benefits

  • Comprehensive development: We support your growth with targeted training and further education
  • Flexible working time models: We offer solutions for every stage of life
  • Diversity & equal opportunities: What matters to us is your personality
  • Attractive perks as a thank-you for your commitment

Job title

Liquidity Risk Manager, Young Professional

Job type

Experience level

Mid levelSenior

Salary

€43,465 per year

Degree requirement

Bachelor's Degree

Tech skills

Location requirements

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