Financial Risk Management Junior Analyst

Selected candidates shall be included in a work team specialising in Risk Management, focusing on functional analyses for the development of software for Italian and international financial intermediaries. Selected candidates shall therefore support project managers in developing operative tasks, such as the drafting of business requirements, functional analyses and tests.

A specialist degree is required, with excellent marks in finance, economics, mathematics, physics, statistics or any similar master's degree, combined with solid quantitative knowledge in the financial, credit-related or accounting sectors. A degree thesis focusing on financial risks (Market or Credit) or on accounting (CDG or IAS/IFRS 9) and the knowledge of a programming language would be an advantage.

Prospective candidates should also have excellent diagnostic, problem solving, communication, work organisation, time management skills as well as the ability to work in a team. A good command of English is an essential requisite and the knowledge of a second foreign language is desired. 

Selected candidates will be offered a training course that may also include trips in Italy and abroad as well as the opportunity to work in a stimulating and dynamic environment, strongly oriented towards the enhancement of resources according to the objectives attained.


Place of work: Bologna 

Our companyapplies an equal opportunities policy (L 903/77)