Finance and Risk Management Analyst, Vehicle Finance in München
...... The Finance & Risk Analyst will be part of the back-office team that is responsible for managing the Finance and Risk Management functions of the European in-house leasing and financing companies...
Jobbeschreibung
Role
The Finance & Risk Analyst will be part of the back-office team that is responsible for managing the Finance and Risk Management functions of the European in-house leasing and financing companies in Germany and UK. He/she will play an important role in performing finance and risk analyses that are critical to the company’s success. In addition to maintaining and continuously further developing both quantitative and qualitative models, methods and procedures he/she will be in charge of regular and ad-hoc reporting to the management board and liaise with internal and external parties involved (such as IT and Operations). The Finance & Risk Analyst will support both the Finance Manager and the Risk Manager whom he/she will report to. The challenging and diverse position will be based in Munich but requires regular traveling to Amsterdam to meet up with the Global Financial Services Team.
Responsibilities
- Analytical support of the finance and risk management function, both regularly and ad-hoc
- Operationally leading, maintaining and further developing the European in-house leasing companies’ reporting setup, with focus on scalability and automated procedures / reports
- Regular and ad-hoc financial reporting to the management, support with regulatory reporting
- Collaboration with the risk manager in the regular assessment of material risks (e.g. credit risk, residual value risk, liquidity risk, operational risk) the in-house leasing companies are exposed to
- Statistical analysis in the context of key risk management measures, e.g. calculation of concentration risks, performance of stress tests, validation of risk-relevant parameters
- Conduction of internal controls to ensure a high level of data quality and compliance
- Support with financial planning & analysis, e.g. annual capital planning, financial analyses
- Support with organizational and strategic risk controlling, e.g. capital planning, funding, maintenance and development of limit system, contingency planning, outsourcing management
- Maintenance and design of lean and efficient operations processes whilst ensuring compliance with German and UK regulations (esp. Minimum Requirements for Risk Management, MaRisk)
Requirements
- Bachelor’s or Master’s degree in Finance, Business Administration, Econometrics, Business IT or a similar field
- Excellent IT and coding skills (esp. VBA, SQL) are required, experience with Tableau would be a plus
- First work experience in the financial services field, ideally in the risk management or finance area
- Basic knowledge of regulatory requirements (in Germany and UK) and international accounting standards (esp. HGB, US GAAP)
- Entrepreneurial hands-on mindset in a true start-up environment
- Excellent analytical, organizational and communication skills
- Fluent in English and German
Extra Informationen
- Status
- Inaktiv
- Standort
- München
- Jobart
- Karrierestarter
- Tätigkeitsbereich
- Baugewerbe, IT / Software-Entwicklung / Programmierung
- Führerschein erforderlich?
- Nein
- Auto erforderlich?
- Nein
- Motivationsschreiben erforderlich?
- Nein
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