
Market Risk Analyst - DRG
- Porto
- Permanente
- Horário completo
- Monitoring the Group framework and producing market risk and investment indicators within the Group’s scope (Trading book and banking book portfolio);
- Measuring counterparty risk metrics (XVA, PFE) and valuation (PVA);
- Producing regulatory reporting and exercises (ICAAP, EBA Stress Tests, etc.) for the Financial Risks scope;
- Managing and enhancing the production tools of the department.
- Monitor daily productions on the tools related to the management of financial operations, market risk indicators (VaR, Stress-Tests and sensitivities), and counterparty risk;
- Analyze the daily indicators produced, send the reports to the relevant stakeholders, and monitor compliance with the framework limits;
- Daily control of compliance with investment rules, adherence to risk mandates, and conformity of trades.
- Higher education (Master's degree or equivalent) in finance and/or mathematics applied to finance;
- Experience of 3/5 years with a significant first experience in finance/market risk;
- Good knowledge of financial products, financial risk indicators, and banking regulations.
- Proficiency in office tools, particularly Excel and Power BI;
- English Fluency (mandatory) and a good level of French (preferred);
- Rigorous, with strong analytical skills and the ability to make proposals;
- Communication skills;
- Teamwork orientation and quality in communication.