Emplois actuels liés à Risk Data Analyst - Paris e - National Bank of Kuwait France SA
-
Quantitative risk analyst
Il y a 15 minutes
Paris, France SGS Société Générale de Surveillance SA Temps pleinQUANTITATIVE RISK ANALYST Design econometric, statistical, and Machine Learning models for risk prediction at the bank. Are specialised maths and statistics your preferred playing field? Do you enjoy juggling different equations? As a Quantitative Risk Analyst, you will develop tools for managing the bank’s risks, such as rating models used by Front...
-
Risk Analyst
il y a 4 jours
Paris, France Amazon France Logistique SAS Temps pleinBachelor’s degree in related field (Data Analytics, International Relations, Global/International Security, Terrorism, Political Science, Business Intelligence, Analytical disciplines etc.) - Experience with information collation, fusion and analytical methodology - Excellent grasp of MS Office Suite and other project management tools - Familiarity and...
-
Internship - NatCat Data & Risk Analyst
il y a 3 semaines
Paris, France AXA Temps pleinVOTRE RÔLE ET VOS MISSIONSGroup Risk ManagementAXA GRM brings together high level and multidisciplinary staff with engineers, PhDs, actuaries, data scientists and financials split between Paris, Hong Kong, Zürich and Madrid. Its main missions are focused on the following key areas. develop and maintain models and tools in an efficient and strong...
-
Data Analyst Alternance
il y a 1 semaine
Paris, France Data ScienceTech Institute Temps pleinData ScienceTech Institute (DSTI) a été créé avec une ambition principale : former des experts du big data et de l'Intelligence Artificielle pour répondre aux besoins de l'industrie 4.0. Depuis 2015, DSTI forme des Data Analyst, Data Engineer et Data Scientist opérationnels, en offrant les programmes les plus internsifs du marché et les plus reconnus...
-
Credit Risk Analyst
Il y a 25 minutes
Paris, France LSEG Temps pleinCredit Risk Analyst (Internship) – London Stock Exchange Group (LSEG) Position within the Risk Management Department. 6‑month internship starting January 2025 (flexible). Responsible for credit risk analysis in the banking and broker sectors, providing support in other sectors across Europe, the United States, Canada, and Asia. Key Responsibilities...
-
Alternant Data Analyst Axone Data Nous créons de la valeur à vos données
Il y a 23 minutes
Paris, France Axone Data Temps plein16 Pl. de l'Iris, 92400 Courbevoie, France Nous cherchons un alternant Data Analyst pour rejoindre notre équipe dynamique. Axone Data est un éditeur de logiciels spécialisé dans les domaines du Big Data, de la Data Science, du Text Mining et du Deep Learning. Nous développons des solutions innovantes pour des cas d’usage tels que la détection de...
-
Governance, Risk
il y a 6 jours
Paris, France Alignerr Temps pleinOverviewAt Alignerr, we partner with the world’s leading AI research teams and labs to build and train cutting-edge AI models. We’re building high-quality datasets and evaluation frameworks for security and risk reasoning. We’re looking for practitioners who understand how security policies, compliance programs, audits, and risk management actually...
-
Risk Business Analyst
il y a 2 semaines
Paris, France LSEG (London Stock Exchange Group) Temps pleinGENERAL PRESENTATION The DCL First Line Risk is materially involved in projects regarding market risk management. More precisely, the DigitalAssetClear First Line Risk (FLR) has leadership on the market risk framework design & implementation as well as on risk monitoring, designing the models and related risk framework and on evaluation and implementation...
-
Apprenticeship Risk Analyst September 2025
il y a 4 jours
Paris, France AXA Temps pleinRéférence de l’offre 2500038F Type de contrat Alternance Niveau d'expérience Etudiants Société du groupeGIE AXA Famille métierAssurance Localisation PARIS, Paris **Votre rôle et vos missions**: **We are looking for our next Risk analyst Apprentice as of 01 September 2025 at our AXA Headquarters!** **Location : 25 avenue Matignon, 8th...
-
Risk Analyst
Il y a 23 minutes
Paris, France Morpho Temps pleinJob Description Join to apply for the Risk Analyst role at Morpho. 5 days ago – Be among the first 25 applicants. About Morpho Morpho is a leading Decentralized Finance (DeFi) lending protocol that recently secured $50 million from Ribbit Capital, a16z crypto, Coinbase Ventures, Variant, Brevan Howard, Pantera, Blocktower, and 50 others to build an open...
Risk Data Analyst
il y a 7 heures
**Job Purpose**
- Contribute to the implementation of Risk Management Framework and its adequacy.
- Provide reliable risk reporting and analysis to Risk Department, General Management, and other Department such as Treasury and Finance if required.
**Key Responsibilities & Accountabilities**
- Implement and maintain reliable risk related reporting (market risk, risk liquidity risk, credit risk).
- Develop and implement risk models.
- Implement a stress testing approach and perform stress tests.
- Perform ad hoc analysis and contribute to risk management process implementation (Risk Appetite, Recovery Plan, ICAAP, ILAAP).
- Monitor risk indicators in line with NBKF’s Risk Appetite.
**Qualifications**:
- Master’s in Statistical and financial engineering, degree in Finance or equivalent.
**Experience**:
- Minimum 3 years as a risk analyst in a Financial Institution.
**Competencies**:
- Ability to identify and understand needs, provide adapted and reliable solutions.
- Ability to adapt to working in a multi-cultural environment.
- Ability to work pro-actively and autonomously to tight deadlines and to withstand occasionally high pressure demands.
- Ability to work efficiently within a small local organization within a larger international Group, ability to be adaptable within working environment, and to demonstrate entrepreneurial capacities.
- Communication skills, ability to communicate with people at all levels, including senior management.
**The job holder requires**:
- Developed skills in programming: VBA, SQL, Python.
- A significant knowledge of risk models (credit and market risk) and statistics (e.g., ECL, IFRS 9, etc.).
- A significant knowledge of market tools (Bloomberg, Reuters, etc.) and ratings tools (e.g., Moody’s).
- Very good level in English, and French.
- Good working knowledge of banking and securities market products.
- Ability to examine and evaluate cross border risk.
- Good awareness of market developments (including financial markets, industry sectors, macro political and economic issues).
- Good interpersonal skills and ability to work in a challenging environment.
- High level of accuracy and attention to detail.
**Job Types**: Full-time, Permanent
Status: Cadre
**Salary**: 55,000.00€ - 65,000.00€ per year
COVID-19 considerations:
Nous prenons toutes les mesures en vigueur de distanciation sociale, de port du masque, de mise à disposition de gel et respectons scrupuleusement les protocoles du Ministère du Travail
**Language**:
- English (required)
Work Location: One location