Risk analyst Jobs in Frankfurt
2024 Risk Management Full Time Analyst Program (Frankfurt)
Morgan StanleyFrankfurt, Germany- Gesponsert
Risk Analyst - Administrative Koordination (m / w / d) - Business Analysis, Risk / Compliance Management, Ingenieur
DeloitteFrankfurt am Main, DERisk Manager
Australia and New Zealand Banking Group Limited (ANZ)Frankfurt, DE- Gesponsert
(Senior) Analyst Leveraged Finance – Akquisitionsfinanzierung / LBO & Corporate Finance (m / w / d)
AKA Ausfuhrkredit-Gesellschaft mbH KarriereFrankfurt am Main, Germany- Gesponsert
Senior Credit Risk Manager
Hamlyn WilliamsFrankfurt Rhine-Main Metropolitan Area, Germany- Gesponsert
Data Analyst / Modeling Analyst Risk Controlling m / w / d
DZ BANK AGFrankfurt am Main, DERisk Analyst - Stress Testing (Market Risk) (f / m / d)
EUREX Clearing AGFrankfurt am Main- Gesponsert
Senior Commodities Credit risk / Counterparty Credit risk - Germany
Eximius FinanceFrankfurt am Main, GermanyAnalyst in Risk Controlling (m / f / d)
Finance in MotionFrankfurt am Main, DE- Gesponsert
- Neu!
Credit Risk Officer
Robert HalfFrankfurt am Main, Hesse, Germany- Gesponsert
Climate risk manager
Bailey & FrenchFrankfurt, DE- Gesponsert
Senior Risk Manager
Bosch GroupFrankfurt, Hesse, GermanyRisk, Enterprise Risk Management – Climate Risk, Analyst, Frankfurt
Goldman SachsFrankfurt, Hessen, Germany- Gesponsert
Test3 - Dont apply - Senior Credit Risk Analyst (m / w / d) (Kreditmanager / in)
test-diegoc-enterpriseFrankfurt am Main, GermanyRisk Manager
ANZFrankfurt, DE- Gesponsert
(Senior) Analyst Leveraged Finance – Akquisitionsfinanzierung / LBO & Corporate Finance (m / w / d)
AKA Ausfuhrkredit-Gesellschaft mbHFrankfurt am Main, Deutschland2024 Risk Management Full Time Analyst Program (Frankfurt)
Morgan StanleyFrankfurt, GermanyPlacement And Duration The Full Time Analyst Program is an opportunity to experience the culture and atmosphere in the Firm Risk Management Division by taking on the below responsibilities. The internship typically lasts six to twelve months but can vary in length depending on business needs and candidate availability. The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk-adjusted returns through prudent risk-taking that protects Morgan Stanley's capital base, liquidity and franchise. Training program You will receive on-the-job training and benefit from working alongside experienced professionals on a variety of projects. This role crosses over multiple areas of Risk giving you exposure to teams not limited to Credit Risk, Market Risk, Risk Analytics and Operational Risk. Responsibilities Work closely with the Risk team to help to : prepare departmental presentations to senior management, including proof reading and formatting compile and analyse risk data and maintain databases, as necessary enhance existing analytical tools used by the various risk stripes ensure completeness and accuracy of data in the analytical tools and systems by performing reconciliations with the data source coordinate regulatory deliverables and self-assessments review and take meeting minutes Requirements You have outstanding analytical skills You have good communication skills, both verbal and written You have a solid academic background and fluency in English. Knowledge of German is beneficial but not essential You are a strong team player; have an ability to collaborate with colleagues across the Risk department and the broader organization You are a self-starter with the ability to work independently You are driven, highly motivated and results-focused You have strong organizational skills with the ability to manage time efficiently and effectively You are detail oriented and have the ability to work efficiently within tight time constraints Estimated start date : November 2024