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Risk Analyst - Stress Testing (Market Risk) (f/m/d)
EUREX Clearing AG • Frankfurt am Main
Who we are
Deutsche Börse Group is one of the world’s leading exchange organisations and an innovative market infrastructure provider. With our products and services, we ensure that capital markets are fair, transparent, reliable, and stable. Together, we develop state-of-the-art IT solutions and offer our IT systems all over the world.
Within the Deutsche Börse Group, Eurex stands for the leading European derivatives exchange and – with Eurex Clearing – for one of the leading central counterparties globally.
Frankfurt am Main
Your career at Deutsche Börse Group
Your area of work
Eurex Clearing’s risk management department is responsible for the risk management framework related to the core clearinghouse business. The main task is to develop integrated risk management solutions covering all asset classes across listed and OTC, from derivatives over equities and bonds up to swaps. Constant monitoring and validation of the framework ensures that it remains state of the art and continues to set industry standards.
Our risk management framework is based on five main pillars: admission criteria, margin and stress testing methodology, exposure monitoring, collateral valuation practices and the default management process.
To further offer attractive and robust risk management solutions to our clients, we are looking for a hands‑on, experienced risk manager in the field of stress testing and/or market risk to drive the stress testing methodology and processes of our clearinghouse forward. The role fosters a holistic understanding of the topic, with responsibilities spanning model monitoring, model development, and internal as well as external stakeholder management.
In addition, the role offers exposure to modern analytics platforms and data‑product‑based approaches used to support scalable and transparent risk analytics.
Your responsibilities
- Develop and maintain our comprehensive and holistic framework to stress test the market risk component of diversified portfolios containing a large variety of different financial products
- Continuous improvement and enhancement of underlying models and methodologies, especially considering dynamic market movements and regulatory requirements
- Propose changes to existing stress testing models or calibrations of scenario shifts for new risk factors due to the introduction of new products or special contracts as well as support or drive the model change process, including impact assessments of proposed changes
- Work on integrated framework design and support IT implementation by defining required functionalities from a model owner’s perspective, including business acceptance testing
- Participate in regular EU‑wide stress testing exercises conducted by ESMA, with responsibility for the credit risk component
- Support external, internal and member audits related to Eurex Clearing’s stress testing programs and communicate stress testing matters to internal and external stakeholders as well as regulatory bodies
- Design, perform and maintain robust data quality checks and controls to ensure data integrity and timely remediation of data quality issues
- Design, develop and maintain analytical data sets and data products on modern analytics platforms (e.g. Databricks) to enable scalable, robust and transparent risk analysis and reporting
Your profile
- You have completed a master's degree in a quantitative or economical discipline (Econometrics, Mathematics, Physics, Financial Engineering, or any other comparable field with risk management focus)
- You have gained 2-3 years of hands-on experience in risk management, with focus on risk models, risk analytics and tools in the area of stress testing; knowledge of relevant regulations and external standards is a plus
- You have developed basic project management experience or experience to organize and manage complex tasks including presenting to the senior management, clients, industry participants and regulators
- You provide excellent analytical and problem-solving skills as well as communication skills
- You show high commitment, motivation, and willingness to take on responsibility
- You bring basic experience in Python or a similar programming language will be an asset
- You are proficient in written and spoken English; additional German language skills will be an asset
Why Deutsche Börse Group?
We are committed to providing a work environment where everyone feels welcome and can reach their full potential. Our standards go far beyond simply matching candidates with the right position.
Mobility
We enable you to move freely with our job tickets, job (e-)bikes and free parking opportunities.
Work environment
Collaboration, communication, or deep focus – in our modern office buildings you will find the perfect work environment. Free drinks and food and meal allowances included.
Health and wellbeing
We care for your health and wellbeing and besides various health promotion measures we offer you a group accident insurance and additional insurance offers at discounted rates.
Financial stability
We provide financial stability by offering attractive salaries, company pension schemes, participation in our Group Share Plan, as well as bonuses, subsidies and discounts.
Hybrid work
Collaborate and exchange on-site or work remotely several days a week in line with business needs and local regulations. Our hybrid working model combines the best of both worlds.
Flexible working hours
We want your job to fit your life situation and offer flexible working time models, childcare allowance, or the possibility to study alongside your job.
Internationality
Our market infrastructures are globally connected. Working with us means collaborating with like-minded colleagues across over 60 locations from more than 100 nations.
Development
We promote individual development by offering internal development programmes, mentoring, further education and training budgets.
Recruiting Team
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