ID oferty: 7193
Źródło: solidjobs
Umiejętności: Wiedza o Rynkach Finansowych (Expert) , Zarządzanie Ryzykiem (Expert) , Analiza ryzyka (Expert) , Analiza danych (Advanced) , MS Office (Advanced) , Rozwiązywanie problemów (Advanced) , Komunikacja (Advanced) , Prezentacje (Advanced) , Zarządzanie interesariuszami (Advanced)
Miejsce pracy: hybrid , Kraków
Języki: Angielski (Expert)
Benefity:
Poziom doświadczenia: Regular
Kategoria: Księgowość i finanse
Kategoria Solid Jobs: OtherFinances
Podkategoria: OtherFinances
Dział: Finances
Opis:
Czym będziesz się zajmować?
Responsibilities:
- Work within the Traded Risk Measurement, Monitoring & Control function in the global Risk & Compliance organisation.
- Act as a subject matter expert, coordinate Traded Risk projects and provide analytical support in Market Risk and Cross Risk.
- Lead initiatives addressing regulatory challenges and optimise the Traded Risk control framework.
- Streamline, standardise and globalise infrastructure, processes and reporting.
- Provide requirements for risk-system changes and support development and UAT testing.
- Align the function with the Global Operating Model and maintain relationships with Risk Managers, Front Office, Middle Office and Product Control.
- Gross monthly pay of PLN 15,108–22,658, plus discretionary variable pay influenced by Group, business/function and individual performance.
- Benefits include healthcare, family-friendly leave, pension and life assurance, recognition bonuses, Multisport, private medical care, life insurance, home-office setup reimbursement up to PLN 800, cafeteria, employee assistance, PPK contributions, events, CSR initiatives, nursery discounts, training support, social fund, flexible hours and free parking.
Kogo poszukujemy?
Key requirements:
- University degree in a quantitative field such as finance, mathematics or econometrics.
- At least 5 years of relevant banking experience, for example in Risk, Product Control, Front Office or Middle Office.
- In-depth knowledge of financial markets, trading business and market-risk concepts.
- Strong understanding of risk factors across asset types, risk sensitivities, their measurement and risk-management techniques.
- Advanced Microsoft Office knowledge, excellent analytical and problem-solving skills, and strong interpersonal, communication and presentation skills.
- Written and spoken English at B2 level or higher.
- Hands-on exposure to VaR, IRC, RWA reporting and the related regulatory framework, including FRTB.
- International financial or risk accreditation such as CFA, FRM or PRM.
- Coding skills in VBA, Python or SQL.
Czego wymagamy?
5 lat doświadczenia na podobnym stanowisku
Znajomości:
- Wiedza o Rynkach Finansowych
- Zarządzanie Ryzykiem
- Analiza ryzyka
- Analiza danych
- MS Office
- Rozwiązywanie problemów
- Komunikacja
- Prezentacje
- Zarządzanie interesariuszami
- Angielski
Jakie warunki i benefity otrzymasz?
- 15.1k–23.7k 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: 15100
Wynagrodzenie max: 23700
Waluta wynagrodzenia: PLN
Okres wynagrodzenia: Month
Rodzaj zatrudnienia: UoP
Utworzono: 29.09.2026 11:41