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Senior Analyst, Group Finance and Treasury, Poland / Finland

Published date more than one year ago
Posted: more than one year ago
Company Nordea
Company: Nordea
End date April 19, 2020
Due date: April 19, 2020
Location Helsinki
Location: Helsinki

About this opportunity

  • Playing a key role in a wide range of tasks connected to credit risk modelling, including developing quantitative and qualitative models, defining frameworks and processes to ensure smooth implementation of the model
  • Working in various interesting projects that are highly prioritized within the bank - as contributor, and with possibilities to act as driver
  • Joining an open and inspiring atmosphere, where you will cooperate closely with your colleagues across the bank

Who you are

  • Show quantitative analytical capability, proactivity and problem-solving skills. You are comfortable working with large datasets and enjoy finding solutions to loosely defined problems
  • Are a team player and can work closely, and collaborate with external stakeholders from different parts of the bank
  • Can prioritize and are committed to deliver high quality on time - also under time pressure
  • Are honest and reliable, willing to speak up even when it’s difficult, and committed to empowering others
  • An academic degree (MSc or equivalent) within a relevant subject such as statistics, mathematics, economics or engineering
  • Strong programming skill is considered highly meriting
  • Previous experience in the credit risk modelling area is preferred

Next steps