You will help advance leading risk management practices from within the Credit Strategies Group and broader Global Portfolio Analytics team
Job Summary
You will help advance leading risk management practices from within the Credit Strategies Group and broader Global Portfolio Analytics team.
The role offers various training and development possibilities and supports work-life balance with flexible working policies and remote working options.
MUFG is committed to embracing diversity and building an inclusive culture where all employees are valued, respected and their opinions count.
Matching Summary
You will help advance leading risk management practices from within the Credit Strategies Group and broader Global Portfolio Analytics team.
Skills & Requirements
Must-have
Credit risk management practices
Quantitative credit risk modeling
Credit portfolio production processes
Risk reporting and presentation
Data manipulation skills
English fluency
Nice-to-have
Experience with IFRS9 and stress testing
Knowledge of VBA or Python programming
International organization experience
Strong analytical and communication skills
Team collaboration and organizational sensitivity
Proactive and results driven
Multicultural work environment
Key Requirements
Bachelor’s or Master’s Degree in Finance or related field
2+ years experience in risk management or finance
Working knowledge of credit risk concepts
Basic understanding of EU EBA guidelines and regulation
Fluent English written and verbal
Willingness to relocate to the Netherlands
Preferably CFA, FRM or PRM certification or in progress