ID oferty: 7207
Źródło: solidjobs
Umiejętności: Analiza ryzyka (Expert) , MS Excel (Expert) , VBA (Advanced) , Analiza danych (Advanced) , Analiza finansowa (Advanced) , Zarządzanie Ryzykiem (Advanced) , Raportowanie (Advanced) , Znajomość instrumentów finansowych (Advanced) , Testy warunków skrajnych (Advanced) , Prezentacje (Basic) , Komunikacja (Basic) , Dokładność (Basic)
Miejsce pracy: hybrid , Kraków
Języki: Angielski (Expert)
Benefity:
Poziom doświadczenia: Senior
Kategoria: Księgowość i finanse
Kategoria Solid Jobs: AnalyticsAndControlling
Podkategoria: AnalyticsAndControlling
Dział: Finances
Opis:
Czym będziesz się zajmować?
Responsibilities:
- Prepare timely and accurate periodic credit reports, analyse changes in credit exposure and collateral, and identify key risks in the lending book.
- Monitor and control credit data, reconcile global reporting returns, consolidate data sets, and improve reporting tools.
- Analyse Lombard collateral portfolios, including financial products, concentration, exposures, market movements and their potential impact.
- Perform volatility, simulation and stress-testing analyses for new and existing credit facilities.
- Assess financial instruments used as Lombard collateral in line with risk methodology and support enhancements to the lending framework and local controls.
- Monthly gross salary of 11,275–16,908 PLN and discretionary variable pay.
- Healthcare, life assurance, Multisport card, home-office setup reimbursement, training and education support, flexible working hours and free parking.
Kogo poszukujemy?
Key requirements:
- University degree in finance, mathematics, computer science or another quantitative discipline.
- At least 2 years of relevant banking experience in Risk, Product Control, Front Office or Middle Office.
- Good understanding of financial instruments and risk-management measures.
- Very good MS Excel skills, including technical formulas, Pivot and VBA.
- Very good English skills, strong presentation and interpersonal skills.
- Excellent attention to detail, time management, ability to manage concurrent tasks and work under pressure.
- Proactive, analytical and collaborative approach.
- International financial or risk accreditation, such as CFA, FRM or PRM.
- Knowledge of Access, SQL or Python.
- French language skills.
Czego wymagamy?
2 lata doświadczenia na podobnym stanowisku
Znajomości:
- Analiza ryzyka
- MS Excel
- VBA
- Analiza danych
- Analiza finansowa
- Zarządzanie Ryzykiem
- Raportowanie
- Znajomość instrumentów finansowych
- Testy warunków skrajnych
- Prezentacje
- Komunikacja
- Dokładność
- Angielski
Jakie warunki i benefity otrzymasz?
- 11.3k–16.9k PLN brutto/m (Umowa o pracę)
- Umowa o pracę - Elastyczne godziny pracy (100%)
- Praca zdalna: Hybrydowo
- Budżet szkoleniowy
- Pakiet medyczny, Ubezpieczenie, Pakiet sportowy
- Parking
Kim jesteśmy?
Opening up a world of opportunity for our customers, investors, ourselves and the planet.
We're a financial services organisation that serves more than 40 million customers, ranging from individual savers and investors to some of the world’s biggest companies and governments. Our network covers 58 countries and territories, and we’re here to use our unique expertise, capabilities, breadth and perspectives to open up a world of opportunity for our customers.
HSBC is listed on the London, Hong Kong, New York, and Bermuda stock exchanges.
Wynagrodzenie min: 11300
Wynagrodzenie max: 16900
Waluta wynagrodzenia: PLN
Okres wynagrodzenia: Month
Rodzaj zatrudnienia: UoP
Utworzono: 29.09.2026 11:41