Analyst, Treasury Modelling & Design

Standard Chartered

  • Warszawa
  • Full time job/ a hybrid model of work


  1. Master’s degree in Finance, Economics, Engineering, Mathematics or similar, fresh graduates / final year students with relevant  major and outstanding academic record will be also considered.
  2. Good written and verbal communication in English.
  3. Basic knowledge of banking products and core banking systems.
  4. Knowledge of Excel VBA / Python will be an advantage.
  5. 1-2 years of experience in Liquidity Risk Management, Interest Rate Risk Management, ALM or Treasury area will be an advantage.
  6. Work experience in the design and development of automated reports / processes would be an advantage.


  1. Takes care of BAU and maintenance support for business of productionised tools and solutions.
  2. Runs regular forecasting and back-testing analysis for senior stakeholders in Treasury.
  3. Provides ad-hoc analysis and explanations to the business clients.
  4. Develops tool and prototypes in Excel/Python to communicate platform enhancements requirements to Technology partners.



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Polityka Prywatności Regulamin Serwisu