Market Risk Reporting Senior Analyst
As a Market Risk Reporting Senior Analyst, you will be working for our client, a global investment bank known for its expansive customer base and commitment to financial innovation. You will be part of a dynamic team responsible for monitoring, analyzing, and reporting market risks across Rates and FX portfolios. The client is currently undergoing a significant transformation, focusing on enhancing data sourcing capabilities and developing advanced self-service dashboards to optimize their risk reporting framework. This role offers the opportunity to work on strategic risk initiatives that support high-level decision-making and regulatory compliance.
Your main responsibilities: Prepare and distribute regular and ad hoc risk reports for Rates and FX portfolios
- Analyze market risk using metrics such as VaR/ESF, factor sensitivities, stress testing, and issuer risk
- Collaborate with risk managers to detect trends and emerging risks
- Participate in transformation initiatives aimed at automation and dashboard enhancement
- Support the fulfillment of regulatory and internal risk reporting obligations
- Execute controls to ensure data integrity in risk reporting deliverables
- Identify and manage data quality issues in collaboration with risk and technology teams
- Automate reporting processes using Tableau and Python
- Maintain and update market risk limits and triggers in the system
- Engage with both first and second line of defense teams to ensure accurate risk representation
You’re ideal for this role if you have:
- 5+ years of experience in Market Risk or Finance within a global banking environment
- Strong understanding of market risk metrics and financial products in interest rate and FX markets
- Proven ability to analyze complex data sets and identify key risk drivers
- Hands-on experience with Tableau for dashboard creation and reporting
- Proficiency in Python for data analysis and process automation
- Excellent problem-solving and critical-thinking skills
- Experience working on large-scale risk transformation projects
- Strong communication skills and the ability to collaborate across teams
- A degree in a quantitative or financial field; FRM/CFA or master’s degree is a plus
- Familiarity with data pipeline tools and data quality management practices
#GETREADY to meet with us!
We would like to meet you. If you are interested please apply and attach your CV in English or Polish, including a statement that you agree to our processing and storing of your personal data. You can always also apply by sending us an email at recruitment@itds.pl.
Internal number #6942
Address:
SKYLIGHT BUILDING | ZŁOTA 59 | 00-120 WARSZAWA
BUSINESS LINK GREEN2DAY BUILDING | SZCZYTNICKA 11| 50-382 WROCŁAW
Contact:
INFO@ITDS.PL
+48 883 373 832