Trainee in Group Risk Management – Risk Control


 

We develop, improve and explain some of the most complex methodologies within Commerzbank Group. We are close to the financial markets in a fast-moving environment and are constantly involved in bank-wide projects. Working in Group Risk Management offers you plenty of opportunities to take responsibility and to show your potential.

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Your tasks

During your 18 month program, you will gain a thorough understanding across our market, liquidity, and counterparty risk functions. In addition, you will experience to work in our agile teams with the aim to further develop our internal platform. Furthermore, you will have the opportunity to get insight into selected other bank functions, such as various front office functions or other risk functions. Depending on your background, you will be working on topics ranging from developing risk models, risk controlling and management to supporting projects in this context. Taking your own skills and interests into account, you decide together with your manager which divisions you want to get to know better during your rotations.

You will focus on Market Conformity Check / Client Valuation tasks to give you the deep dive opportunity on one of the wide range Risk Management topics that will contain monitor and control trading activities of the whole Commerzbank Group.

Being part of our selected Graduate Class of 2023, you will build your own network within Group Risk Management and other bank functions beginning on day one. In your manager and an additional manager-level sponsor you will find two experienced mentors who will guide you through the whole program.

In a nutshell, joining us will enable you to gain a deep understanding of our businesses and financial markets but will also give you enough flexibility to learn more about other Commerzbank functions outside of Group Risk Management.

Your profile

  • You have shown your strong analytical, methodological skills during your studies of Mathematics, Physics (or a similar quantitative discipline), Economics, Finance or Business Administration
  • Broad knowledge of investment banking products (e.g. equities, commodities, interest rates derivatives, credit and foreign exchange), their valuation and risk profile and methods for risk quantification
  • Previous internships/work experience in financial institutions are desirable
  • Strong communication skills and team spirit
  • Previous experiences with agile working principles is useful
  • Strong Microsoft Office (Excel, Powerpoint, Access) skills required, VBA knowledge is an advantage
  • This position is suitable for students with max 12 months after finishing their university studies
  • Fluent English and Basic German is mandatory any other language is beneficial

Our Benefits

  • 30 days of vacation
  • Employer-funded pension
  • Flexible work
  • Employee conditions
  • Digital learning
  • Diversity
  • Family & job friendly
  • Friendly work environment
  • Inspiring company culture
  • Work-life balance

30 days of vacation; Employer-funded pension; Flexible work; Employee conditions; Digital learning; Diversity; Family & job friendly; Friendly work environment; Inspiring company culture; Work-life balance

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Contact

aranka.barnasova@commerzbank.com

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