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BI Technical consultant - Market Risk
Luxoft
Barcelona
Presencial
EUR 50.000 - 70.000
Tempo integral
Há 11 dias

Resumo da oferta

A leading financial consulting firm is seeking experienced BI Technical professionals in Barcelona, Spain. The role involves designing and maintaining BI dashboards using Advanced BI tools, with a strong emphasis on Market Risk and data management. Candidates should have expertise in Java, OLAP, and risk processes. This is a long-term engagement, ideal for those looking to grow in a dynamic team with multi-disciplinary support. Excellent communication skills are required for cross-functional collaboration.

Qualificações

  • Experience in banking environments with a focus on risk processes.
  • Strong proficiency in Java, Unix and multidimensional data modeling.
  • Familiarity with market risk metrics is a plus.

Responsabilidades

  • Design, develop, and maintain BI dashboards using ActiveViam.
  • Collaborate with risk and treasury teams to capture business requirements.
  • Contribute to reporting frameworks for Market Risk and Treasury.

Conhecimentos

Java/SpringBoot
Strong understanding of risk data
Proficiency in OLAP
Proficiency in SQL
Communication skills

Ferramentas

ActiveViam
Control-M
Descrição da oferta de emprego
Project description

We are seeking experienced BI Technical professionals to join our consulting team supporting the Market Risk function of a major financial institution in Poland. The ideal candidate will bring strong expertise in banking environments, with a solid understanding of risk processes and data management. Exposure to Market Risk is highly desirable. You will be part of a dynamic, multi‑disciplinary team delivering high‑impact solutions in position keeping, risk analytics, and treasury reporting, leveraging ActiveViam's powerful BI capabilities. If you want to be part of a high‑performing team with over 20 consultants supporting strategic banking and work on cutting‑edge BI solutions in a global financial environment this position is for you. this is a Long‑term engagement with opportunities for growth and specialization.

Responsibilities
  • Design, develop, and maintain BI dashboards and analytical tools using ActiveViam (formerly ActivePivot) Collaborate with risk and treasury teams to understand business requirements and translate them into technical solutions Optimize data models and cube structures for performance and scalability Support integration with upstream systems and ensure data consistency across risk platforms Contribute to the evolution of reporting frameworks for Market Risk and Treasury
SKILLS
Must have
  • Java/SpringBoot Strong understanding of risk data, position keeping, and treasury operations Proficiency in Java, Unix, OLAP, SQL, Control-M job as code, and multidimensional data modeling Familiarity with market risk metrics (VaR, sensitivities, stress testing) is a plus Excellent communication skills and ability to work in cross‑functional teams
Nice to have

Active Viam knowledge/experience Prior involvement in Market Risk transformation projects Knowledge of regulatory frameworks (e.g., FRTB, Basel III) Python, working knowledge on CI/CD (Github actions, urbancode, etc) Spark

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