Vacancies – Risk Manager – The Netherlands recruitment

The first vacancy is for a medior (3+ years of experience)
The second vacancy is for a senior (6+ years of experience)

The ideal candidate has banking/investment background and a master's degree in quantitative finance, econometrics, statistics, mathematics, actuarial, or related field. A post-master financial risk designation (FRM, CFA, FAS/ASA) is preferred.

These positions are based in The Hague, the Netherlands.