Qualitative Models Validation Senior Analyst

Citigroup · Warszawa

ID oferty: 1710897

Źródło: solidjobs

13 800–23 400 PLN miesiąc · UoP

Umiejętności:

Zarządzanie Ryzykiem Ekspert
Ekspert
Myślenie analityczne Ekspert
Ekspert
Analiza danych Ekspert
Ekspert
MS Excel Zaawansowany
Zaawansowany
Statystyka Zaawansowany
Zaawansowany
Ekonometria Zaawansowany
Zaawansowany
Wiedza o Rynkach Finansowych Zaawansowany
Zaawansowany
Komunikacja Zaawansowany
Zaawansowany
Analiza szeregów czasowych Podstawowy
Podstawowy
MS PowerPoint Podstawowy
Podstawowy
MS Word Podstawowy
Podstawowy
Praca zespołowa Podstawowy
Podstawowy

Miejsce pracy: Warszawa

Języki:

Polski Ekspert
Ekspert
Angielski Zaawansowany
Zaawansowany

Benefity:

Pakiet medyczny Ubezpieczenie Pakiet sportowy

Poziom doświadczenia: Senior

Kategoria: Księgowość i finanse

Opis:

Czym będziesz się zajmować?

  • This position is a maternity cover / replacement contract within the Qualitative Model Validation team, part of the Model Risk Management (MRM) group in the Risk organization
  • Performing independent validation of qualitative models across the firm, in line with the Citi Model Risk Management Policy and procedures
  • Critically reviewing the appropriateness of a Qualitative Model versus alternative quantitative approaches with respect to the modeling objective and available development data
  • Producing high quality validation reports, including highlighting risks and limitations of the model
  • Evaluating testing approach and results for individual models in accordance with MRM guidance
  • Assessing the ongoing performance monitoring of the models
  • Contributing to regulatory and internal audit related responses
  • Collaborating with other teams within Risk and the Business to facilitate compliance with policies, procedures and guidance
  • Assisting with preparing reports and other meeting materials for MRM senior management
  • Supporting the design, development, delivery and maintenance of best-in-class qualitative model validation process standards, guidance, practices and templates


Kogo poszukujemy?

Key requirements:
  • Minimum Bachelor's degree in Finance, Economics or a quantitative discipline (statistics, quantitative finance, econometrics); Master's degree preferable
  • Ideally 3 years of experience / knowledge of Banking, Treasury, Finance or Risk management
  • Knowledge of financial markets and products
  • Excellent partnership and teamwork skills
  • Ability to clearly and concisely formulate findings in written form and good verbal communication skills
  • Good analytic, creative thinking and problem solving abilities
  • Adept and meticulous at analysis and documentation
  • Ability to multi-task, work well under pressure and deliver under tight deadlines
  • Experienced user of Microsoft Office Suite, especially Excel, PowerPoint and Word
  • Solid knowledge of time series analysis, statistics and econometrics highly advantageous
Nice to have:
  • Qualitative or quantitative model risk management experience
  • Knowledge of Python or R language


Czego wymagamy?

3 lata doświadczenia na podobnym stanowisku
Znajomości:
  • Zarządzanie Ryzykiem
  • Myślenie analityczne
  • Analiza danych
  • MS Excel
  • Statystyka
  • Ekonometria
  • Wiedza o Rynkach Finansowych
  • Komunikacja
Mile widziane:
  • Analiza szeregów czasowych
  • MS PowerPoint
  • MS Word
  • Praca zespołowa
Języki:
  • Polski
  • Angielski


Jakie warunki i benefity otrzymasz?
  • 13.8k–23.4k PLN brutto/m (Umowa o pracę)
  • Umowa o pracę - Elastyczne godziny pracy (100%)
  • Praca zdalna: Brak
  • Pakiet medyczny, Ubezpieczenie, Pakiet sportowy


Kim jesteśmy?

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We offer a broad range of opportunities across multiple business lines, each contributing to our mission of driving global progress. Whether you're interested in banking, technology, or investment services, our teams collaborate to deliver innovative solutions that make a positive impact.

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Utworzono: 07.10.2026 15:26