Market Risk Analyst

Crisil Integral IQ

Kraków

Hybrid

PLN 120,000 - 180,000

Full time

32 hours ago
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Benefits offered by this job

Medicover health insurance
Multisport membership
Group insurance
Employee Referral Program
Education reimbursement policy
Career development opportunities

Job summary

Crisil Integral IQ is seeking a highly analytical Market Risk Analyst to join our Krakow office on a hybrid basis. The role focuses on VaR calculation, risk assessment, and regular reporting to senior management while coordinating with multiple stakeholders across risk, IT, and business teams.

The position supports a flexible hybrid work model with two in-office days per month in Krakow. We offer a comprehensive benefits package and opportunities for professional development in a globally

Qualifications

  • VaR calculation and modeling across trading portfolios.
  • Understanding risk reporting and VaR sensitivities, including Fixed Income context.
  • Strong data analysis and problem-solving skills with attention to detail.
  • Advanced knowledge of Microsoft Office; able to operate in an international team.

Responsibilities

  • Develop, implement, and maintain VaR models for trading portfolios.
  • Analyze market risk and its impact on VaR and risk metrics.
  • Monitor positions and prepare VaR reports for senior management.
  • Collaborate with Market Risk, Traded Risk, IT, BA and PM teams.
  • Create controls, reports and tools to analyze Traded Risk data.

Skills

VaR modeling
Risk reporting
Data analysis
Excel proficiency
Team communication

Job description

Crisil Integral IQ delivers solutions and analytics to top financial institutions, driving strategic transformation, risk optimization, and operational excellence. Our offerings across research, risk, lending, analytics and operations have empowered clients to navigate complex markets, mitigate risks, and unlock new opportunities. Our domain expertise, innovative solutions, and future-ready technologies such as AI and data science give clients the confidence to accelerate growth and achieve sustainable competitive advantage. Our globally diverse workforce operates in the Americas, Asia-Pacific, Europe, Australia and the Middle East.

We are seeking a highly analytical and experienced Market Risk Analyst.

Please be informed that the role is hybrid - we expect 2 working days in a month from the office in Krakow.

Key responsibilities:
  • Value at Risk (VaR) Calculation: Develop, implement, and maintain models to calculate VaR for various trading portfolios, ensuring accuracy and reliability.
  • Risk Assessment: Analyze and assess the risk associated with trading activities, focusing on market risk and its impact on VaR.
  • Monitoring and Reporting: Continuously monitor trading positions and market conditions, and prepare regular VaR reports for senior management.
  • Cooperating with multiple stakeholders including Market Risk Managers, Traded Risk Analysts, IT Support, Business Analysts and Project Managers.
  • Building efficient controls, reports and tools to help maintain and analyse Traded Risk data.
Skills requirements:
  • 2+ years of relevant experience in banking e.g. Risk, Product Control, Front Office, Middle Office,
  • Understanding of the Risk function and Risk reporting, VaR and risk sensitivities analysis. Preferably for the Fixed Income asset class,
  • Understanding of FRTB,
  • Excellent data analysis and problem solving skills,
  • Advanced knowledge of Microsoft Office is a must,
  • Highly organized and ability to work in solo and as a team,
  • Open personality and effective communication skills, ability and flexibility to work in an international team.
Our offer:
  • Stable Employment in an International Company: Be part of a globally recognized organization that values stability and growth.
  • Secure Employment Contract: Enjoy the peace of mind that comes with a solid employment contract.
  • Flexible Hybrid Work Model: Experience the best of both worlds with our hybrid work model, allowing you to work from the office just twice a month and enjoy the flexibility of remote work the rest of the time.
  • Comprehensive Benefits Package: Take advantage of our extensive benefits, including Medicover health insurance, Multisport membership, and group insurance to keep you and your family protected.
  • Employee Referral Program: Help us grow our team and get rewarded through our Employee Referral Program.
  • Education Reimbursement Policy: Invest in your future with our education reimbursement policy, supporting your continuous learning and professional development,
  • Career Development Opportunities: Explore numerous internal and external opportunities to advance your career within the Finance Domain. We are committed to your growth and success.
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