Interim

Responsibilities:

- Performance of daily risk management operations
- Analysis of portfolio risks
- Development of portfolio optimization models
- Building close relationships with all portfolio managers for result optimization
- Work up results of portfolio operations and analysis

Profile:

- Graduate with Master's degree in Finance or Mathematics
- Fluency in English
- Modeling skills
- Ability to manipulate statistical data
- Analytical thinking
- Strong team spirit
- Extended knowledge of MS Excel and Access

Our client is a financial institution

Additional Information
Status:
Full Time, Temporary/Contract/Project
Referentiecode:
10008776_1321349584

Contact Information
Axis Banking - Insurance - Finance
Apply by Email
Axis
49
Bld Prince Henri
L - 1724 Luxembourg

tel: +352 (0)27 623 623