Credit Risk Modeller

05 ago - Bologna
Altro

In this role you will support project managers in managing the development and implementation of rating, EAD/LGD and portfolio models (Var Credit Risk).

Background and Job Skills

Master's degree or PhD with excellent grades in Mathematics, Physics, Economics/Finance or Engineering disciplines and strong quantitative knowledge

Knowledge of MS Office applications and econometric/mathematical software (Python, SAS, Stata, SPSS)

Fluency in English; knowledge of a second foreign language is a plus

Soft Skills

Excellent diagnostic skills

Aptitude for problem solving and communication

Excellent teamwork aptitude

What We Offer
We offer a competitive compensation package, including a fixed and variable component, a welfare plan, and various benefits. Remote work is available, and we provide ongoing training and professional development opportunities.

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