Financial Risk Specialist
Warszawa, PolskaKey offer highlights
Looking for experts - senior/expert
Data: SQL / BI / Python
Full-time
On-site work - no remote option
Description
ING Hubs Poland is hiring!
Nr ref.
REQ-10120984
Spółka
ING Hubs
Kategoria
Financial Risk
Lokalizacja
Warsaw, Poland
Data publikacji
12.09.2026
Poziom stanowiska
Professional
Your responsibilities
analysis and monitoring of market risk at the ING Group level,
implementation of regulatory requirements in IRRBB,
managing models and tools for measuring and monitoring interest rate risk,
support for senior managers and other stakeholders in managing interest rate,
You'll get extra points for
having quantitative background with excellent understanding of different types of market risks (interest rate, liquidity and FX risks),
having practical experience with Python and being able to leverage it effectively for data analysis, process automation, and the development of risk management solutions,
understanding the complexities of a banking group with global operations and having a good understanding of recent regulatory changes and requirements,
having curiosity and being open to new developments, with the ability to master new material quickly. In addition, you are able to respond effectively to the needs of others in the role of a trusted advisor,
being a pragmatic problem solver, who can support the implementation of IRRBB risk measures in a dynamic environment,
being a team player who will add value to the Financial Risk organization within a dynamic environment. You will ensure that the activities you are responsible for will be performed to an exceptional standard,
excellent command of English, being able to demonstrate negotiation, presentation and writing skills,
being able to deal with cultural differences, conflicting interests, complex and unforeseen challenges, as well as to constructively cooperate with your peers in building a sustainable, effective and efficient working environment.
We are looking for you, if you
have experience in the financial sector or demonstrate a strong interest and potential to build your career in banking and risk management,
completed academic education preferably in economics, econometrics, applied mathematics, finance or comparable training,
have knowledge in the field of Asset and Liability Management and new regulatory developments regarding IRRBB,
have sound knowledge of risk management and financial products,
have an excellent command of English, both spoken and written.