
Dynamically growing team with diverse career opportunities and flexible working arrangements
As part of our Risk Management & Banking Control team, you will apply your expertise in a diverse and broad range of topics in the financial sector. Our goal is to bring together various aspects of risk management and develop comprehensive concepts for identifying, measuring, and controlling risks for our customers.
Depending on the project, you will develop solutions for cross-sectional control concepts or work closely with our specialists for modeling individual risk types to ensure a comprehensive and consistent representation of risks. Your activities include, among other things:
Higher education and experience: Completed master's degree and practice or professional experience in a bank, consulting, or other financial services provider in the field of banking control or risk management
Passion for finance: Personal interest in bank practice, regulation, and connections in risk management
Expertise: You have a good overview of the design of Pillar II and in-depth experience in one or more risk types
Agile mindset: Enthusiasm for developing and integrating new topics and the necessary analytical and conceptual skills to work on them quickly and purposefully
Team spirit: Enjoy working in project teams and with customers
Language skills: Very good German skills in writing and speaking
We invite you to work together with us to develop customized solutions for our customers and, at the same time, actively participate in the growth and development of our company. As part of our team, you will benefit in many ways: