Do you want to help deliver superior advisory solutions for Nordea Markets and have a natural interest in financial markets?
Markets Advisory Tools in Nordea Digital Markets is responsible for delivering tools for Sales within asset and risk management. The team is responsible for developing and maintaining Nordea Analytics, an analysis platform used both internally in Nordea Markets as well as by customers.
In Nordea Analytics, several models have been implemented for performing advanced FX and liability risk analysis for our corporate customers in Nordea Markets.
In order to ensure the stability of these models and continue the journey in providing advisory solutions on a Nordic level, the objective of the role is to make sure that existing models and advisory solutions are maintained and up to par with market standards. The models currently implemented are Value-at-Risk, Cash Flow-at-Risk, and Cost of Carry and are to be maintained and kept up to date.
You will also be a trusted partner for Sales and participate actively in securing the financial sanity of new concepts to be implemented. Supporting the Nordea Analytics platforms in general and actively participate in development projects will also be a big part of the job.
You are highly analytical, conscientious and detail oriented and not afraid to make decisions.
You hold a Master degree in Finance, Engineering, Physics, Mathematics or similar and have 3-5 years of experience from a similar position.
We also like you to have:
Furthermore, it is part of your DNA to always have stakeholders in mind and deliver swiftly with high quality.
On a personal level, you are extrovert and curious with great interpersonal skills.
For more information, please contact Kristian Hatner Kristensen.
Please submit your application no later than 6 August 2017 by using our online application form.