Om tjänsten
We are looking for an Analyst in Group Finance & Treasury. This is
an opportunity for you to be a part of setting strategic direction of Nordea
from the balance sheet management point of view. Daily exposure to Nordea's top
management and the supervisors will give you a behind-the-scenes understanding
of the banking business.
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
In Group Finance & Treasury, we believe in inclusive leadership and
in a workplace that supports diversity - in which differences are both
respected and appreciated.
What
you’ll be doing:
- Drive the funding, liquidity or
capital forecasting in our unit, cooperating with the rest of the team,
involving broader Nordea stakeholders
- Contribute to long term
funding/capitalization projects
- Support Nordea executives with
tailored balance sheet analyses for strategic decision making
The role is based in Stockholm. Welcome to a team that
values cooperation and is eager to learn every day.
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:
- Can solve complex problems with simple solutions
- Have a strong personal drive with a make-it-happen attitude
- Are not afraid to take responsibility
- Experience with funding, capital and/or
liquidity analysis
- Good writing and presentation
skills
- Relevant work experience
at least 2 years
- Master’s degree in economics, finance,
statistics or a mathematical major
If this sounds like you, get in touch!
Extra information
- Status
- Stängd
- Ort
- Stockholm
- Typ av kontrakt
- Heltidsjobb (förstajobb)
- Typ av jobb
- Kontor / Administration , IT
- Körkort önskas
- Nej
- Tillgång till bil önskas
- Nej
- Personligt brev krävs
- Nej