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Assistant Capital and Risk Analyst (Internship position), Stockholm

Om tjänsten

Are you eager to learn more about capital and risk related topics? Are you looking for an opportunity to combine your studies with valuable hands on working experience within your field? Then we have the perfect position for you.  
 
This internship position will offer you an insight into the risk and capital management area, a field which has a high focus and interest in the international financial industry. You will learn about Nordea’s management of capital, including capital requirements and reporting to the management, the public and financial supervisors. You will also gain experience from a Nordic cross-border environment and Nordea’s products and processes.  
 
In today’s world, change is the one thing you can count on. But whatever the future brings, our customers remain at the heart of everything we do.  
 
That’s where you come in. Working with dedicated colleagues in an exciting, fast-paced environment, you’ll help meet our customers’ changing needs. 
 
We aim to be courageous and explorative in our approach to innovating better ways of delivering banking services – anytime, anywhere. This means you’ll have many opportunities to learn and grow as you build your career with us. Will you help us lead the way in creating great customer experiences?  
 
 
Your future responsibilities
You’ll join Regulatory Reporting, which is part of Group Function Information & Reporting in Nordea providing reporting services to various internal and external stakeholders.  
 
You will work on an average approximately 20 hours per week (50% of the full time employee) for one year with fixed term contract, with possbilites of extension. Flexibility is required during the periods with significant activity during the quarterly reporting.  
 
As an Assistant Capital and Risk Analyst you will be:  
 
  • Providing support in reporting to supervisory authorities, the Board of Directors and other stakeholders on a quarterly basis.  
  • Assisting in analysing the development of risk exposure amounts and economic capital including credit quality changes, regulatory changes and changes in portfolio composition.  
The role is based in Stockholm, and in the role you will gain experience from a cross-border environment.  
 
 
Who you are
Collaboration. Ownership. Passion. Courage. These are the four key values that guide us in being at our best. We imagine that you enjoy learning and are excited about bringing your ideas to the table. You’re dependable, willing to speak up – even when it’s difficult – and committed to empowering others.
 
Your profile and background:
 
  • Graduating from your bachelor in 1-2 years time or are studing a masters, preferably in finance or accounting.  
  • Experienced user of Excel.  
  • Fluent in English.  
  • Analytical and interested in learning more about topcis related to capital and liqudity.  
  • Team player and take responsibility to contribute to the development of good team-spirit.  
  • Knowledge in SQL, SAS or equivalent is a strong advantage.  
  • Experience from banking industry is an advantage.  
 
If this sounds like you, get in touch!
 
 

Publicerad den

26-03-2024

Extra information

Status
Stängd
Ort
Stockholm
Typ av jobb
Kontor / Administration , IT
Körkort önskas
Nej
Tillgång till bil önskas
Nej
Personligt brev krävs
Nej