Do you want to join a true professional environment at Danske Bank and contribute to give Danske Banks banking book market risk management an extra boost? With us, you will get an unique opportunity to use and further develop your skills.
You will be part of an inclusive team of seven great colleagues responsible for market risk governance, reporting & analysis in Danske Bank Group.
We offer you a collaborative working culture where success comes as a team effort and where each team member has an important role in driving and developing the area. Expertise, trust, and openness are in the core of our culture. Sharing a variety of team assignments with expert colleagues support your learning and your views develop our role in the bank.
“Working with Market and Liquidity Risk Team at Danske Bank has given me ample opportunities for professional growth, learnings and challenges. The collaboration between departments makes the workplace more engaging and involved which gives you a feeling of belongingness,” tells your future colleague, Kaveri.
Our role and responsibility is to develop further our mature market risk governance and challenge processes and decisions within the market risk area. We use financial markets expertise, data analytics and stress testing as part of this role.
The team has a mature and well-founded setup for market risk. As part of the team, you will be able to enhance second line of defense views on the banking book market risk related exposures.
We are looking for a colleague with fresh perspectives
For this opening, it is vital that you are able to communicate your analysis in a way that provides our stakeholders in the organisation with real insight into the drivers of the risk position. You have a high degree of integrity and enjoy working within your team. You go to the job with an enterprising and holistic mind set.
Your background can vary but we expect that you:
- have some relevant experience from a large financial institution e.g. from risk, from a trading desk or from advisory.
- hold a degree in finance, mathematics, economics or similar.
- are familiar with retrieving large amounts of data to support your analytical efforts.
- have strong communication skills, written and oral, and you are fluent in English.
We offer an attractive development opportunity among highly knowledgeable and ambitious colleagues. We work in an environment of freedom with responsibility and support each other in our efforts to constantly become better at helping the team create risk insight.
Furthermore, we offer you:
- A culture of inclusion that values each employee’s unique perspective
- Rewarding work with the flexibility to enjoy personal and family experiences
- An informal environment where collaboration is appreciated
“I have learnt a lot about industry knowledge of Market risk management and Reporting with a supportive team – and I really feel my job is exciting and provides sustainable work life balance,” ends Kaveri.
Interested?
If you have any questions, please feel free to call Head of Governance, Reporting & Analysis, Martin Elkjær Lund on +45 30 53 22 91
We look forward to hearing from you – sooner rather than later!