Manager – Global Finance Analytics at a Global Bank

Ref:
Location: Krakow, Poland
Type: Permanent
  • Leading in the development and enhancement of finance analytical models
  • Mentoring and overseeing junior model developers
  • Engaging in regular stakeholder meetings and presenting key project updates
  • Ensuring strategic and consistent improvement in Finance Analytics
  • Attractive package including competitive salary, annual performance-based bonus and additional recognition awards.

Our client, a respected global bank at the forefront of their industry, is on the lookout for a Manager in Global Finance Analytics. This is a unique opportunity for individuals who are passionate about financial analytics and eager to take their career to the next level.

Position Overview

As a Manager for Global Finance Analytics, you’ll guide your team in creating and refining models predominantly related to forecasting and stress testing. Your work will play a significant role in improving the Finance Analytics capabilities of the organisation. Equipped with strong organisational and interpersonal skills, you’ll have the chance to present in stakeholder meetings and collaborate with diverse teams within Global Finance.

Responsibilities

  • Craft methodologies and models across Finance, with a primary focus on forecasting and stress testing
  • Offer direction and support to junior model developers, fostering innovation and growth
  • Work in an agile environment, considering best practice and practical solutions
  • Engage in timely catch up sessions with key stakeholders to remain abreast of ongoing projects and deliverables
  • Work collaboratively with various teams within Global Finance
  • Deliver customer-focused solutions, interrogating options and data for optimal results
  • Build and manage key relationships with internal and external stakeholders

Requirements

  • University Degree (Masters or PhD preferred) in Quantitative Finance or in a numerical subject (Maths, Physics, Engineering, Econometrics)
  • Relevant experience in analytics related fields such as Credit Risk Modelling, Stress Testing, Loss Forecasting, Reserving, IFRS 9, SQL etc. for a Banking organisation
  • Strong analytical and problem-solving skills
  • Familiarity with forecasting, stress testing models
  • Proficient in Python and/or R, familiarity with SQL
  • Strong understanding of consumer products such as Deposits, Savings, Lending, Credit Cards, CRE, as well as Costs, Interest Income and Fee Income
  • Excellent communication skills (both written and verbal)

How to Apply

If you’re ready to join a forward-thinking organisation and make a significant impact in the finance analytics sector, we’d love to hear from you. Please submit your CV to [email protected] and outline your relevant experience and why you’re interested in this opportunity.

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