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Analyst II (Credit Risk) - ABN AMRO

Location: Utrecht
Salary: € 3953 - € 5646 a month
Employment: Full-time

Analyst II (Credit Risk)

At a glance

You are part of the Risk Measurement & Modelling (RMM) team within the department Business Control (1st line Risk) of ABN AMRO Asset Based Finance (ABF). In your role, you are responsible for several projects in the fields of financial risk reporting, portfolio management and model management for all ABF countries, covering both Commercial Finance and Lease, among some standard Business as Usual activities.

Your role

As an Analyst within the RMM Team, you will play a key role in ensuring that ABF makes informed, data-driven and knowledge-driven decisions. These decisions require compliance with existing and new regulations and should, at the same time, correctly reflect the nature of our business. In this role, you will be able to apply your quantitative skills and experience on various business challenges and make a positive impact for ABF and its customers. To achieve this, you are expected to set up strong collaborations and frequently liaise with many different stakeholders within ABF and AAB. 

Main tasks and responsibilities:

  • Financial Risk Reporting: Responsible for the Financial Risk section of the ABF Enterprise Risk Report, construct the monthly risk reports to ABF’s Risk Committee while providing commentary. Set-up new financial risk reporting in Excel and Power BI.
  • Portfolio Management: Perform diverse back and forward looking analyses on ABF’s portfolio, together with ABF’s portfolio manager. The analyses serve to advise and support the MT ABF in making strategic decisions regarding the future of ABF. 
  • Model Management: You are one of the linking pins between the ABF business and our (non-)regulatory models. Contribute in AAB model redevelopments (e.g. projects for PD and LGD redevelopment) and other model monitoring activities, based on your expert knowledge of the business and its products.
  • Participate in many other projects for which the 1st line Risk involvement of Business Control is needed. (e.g. questions from the European Central Bank, specific ‘deep dive’ projects, and ensuring that ABF complies with (new) legislation and regulations from the supervisory authorities)

Your Working environment

ABN AMRO Asset Based Finance (ABF) is internationally cross border organized and has operating companies in Germany, France, the United Kingdom, and the Netherlands. ABF is designed as a subsidiary of Corporate Banking as per January 1st January 2022. ABF provides Leasing and Commercial Finance solutions to SME, corporate, and international business clients, distributing our products through omnichannel, digitally (providing standard solutions and convenience) as well through personal sales (providing a coverage model for complex solutions and expertise).
Your place of employment is the Beneluxlaan in Utrecht. In line with hybrid working, we have adopted the new way of working, which allows you to work at different locations and times. In this role you are part of the Business Control department within ABF. Business Control is primarily responsible for the adequate design and implementation of ABF's first line risk management. The department consists of 25 professionals in Non-Financial Risk, Oversight & Reporting, Business Process Improvement, Regulations & Policies, and Risk Measurement & Modelling. The Head of BC reports to the CEO of ABF and in this role, you report to the head of RMM. The department covers all four ABF countries.

Your profile

You are a data-driven analyst with good collaboration skills. You are an enthusiastic, positive, and out-of-the box thinking expert, capable to work with non-standard portfolios. You are willing setting the example in the ONE ABF strategy. You have good communication capabilities in order to translate specialistic knowledge to generally understood business language. 

Do you think you would suit us? Check your profile: 

  • You are preferably educated in a (quantitative) financial area such as economics, econometrics or finance;
  • Minimum 3-5 years relevant work experience, where experience in business controlling and financial analysis is highly desirable;
  • You are familiar with Basel/European regulation for capital calculations or are willing to learn this; 
  • You have affinity and experience with Excel VBA, Power BI and Python (or the ambition to learn this);
  • You have at least 3 years of experience in the fields of Financial Risk, experience with Lease and/or Commercial Finance is a pre;
  • You are fluent in speaking the English language and writing documents in English.

What we offer

We offer you a role in a young and growing team with excellent opportunities to develop your personal skills. You will get a lot of freedom to get the best out of yourself, to work flexibly in an enthusiastic team that communicates directly with each other and in which you have the room to grow. Naturally, we offer you the ABN AMRO collective labour agreement, which consists of attractive employee benefits. The job is for a minimum of 36 hours a week. 

  • Appointment as Analyst II. If your profile suits perfectly, a higher level can be considered. 
  • We offer you the freedom to get the best out of yourself, flexible working and plenty of room to grow; 
  • We help you to stay fit and vital; 
  • A benefit budget of 11%, with which you can buy flexible working conditions; 
  • A personal development budget of € 1,000 per year; 
  • An annual public transport pass or transport budget; 
  • A solid pension plan
  • An informal multi-cultural working environment with great colleagues
  • Challenging work on complex data and quantitative problems
  • Career development and the possibility to gain experience in all areas of risk measurement and modelling 

Interested?

Are you interested? Respond quickly to this vacancy. For more information, contact Douwe Roest, head if Risk Measurement & Modelling Douwe.Roest@abnamroabf.com / 06 – 1243 3640. 

Equal opportunities for all

The success of our organisation depends on the quality of our people and the ideas that they have. Truly surprising insights and innovative solutions for our clients result from an interplay of cultures, knowledge and experience. Diversity is therefore extremely important to our organisation. To ensure that everyone at ABN AMRO can develop their talents, we encourage an inclusive culture in which all colleagues feel engaged and appreciated.

Disclaimer externe recruitmentbureaus

External recruitment agencies need to have a signed agreement with ABN AMRO BANK N.V., executed by a Talent Acquisition Specialist, when submitting a resume to a vacancy. In addition, a recruitment agency can only submit a resume when invited by a Talent Acquisition Specialist to join the search for a right candidate. All unsolicited resumes sent to us will be considered property of ABN AMRO BANK N.V. In this case, ABN AMRO will not be held liable to pay a placement fee.

Location:

Utrecht

Information and application:

Apply:

Please send your application for Analyst II (Credit Risk) at ABN AMRO in Utrecht including your CV via our website.

Job code:

2287

Job posted

11 april 2022
Apply Now

More information:

For more information, contact Douwe Roest, head if Risk Measurement & Modelling Douwe.Roest@abnamroabf.com / 06 – 1243 3640. 

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