About the company
As an Austrian-founded company, our company headquarters is located in Vienna, so you'll notice a lot of our roles target here. However, as we also have talent hubs in other cities across Europe (Amsterdam, Berlin, Barcelona, Bucharest) many of our positions are open to these locations as well.
Job Summary
What you’ll do:
📍Create, operate and improve existing risk models to monitor products offered by Bitpanda, particularly those related to stocks and financial services. 📍Conduct ad-hoc risk analysis and reporting for senior management, consistently solving and adapting to problems. 📍Advise risk owners on assessment and risk treatment of identified risks. Provide data-driven analysis of risk topics, empowering quantified risk-based decision-making from management. 📍Refine traditional financial risk management approaches and pioneer the establishment of the gold standard in risk management within the stocks and financial services industry. 📍Act as the point of contact for Bitpanda’s operational teams concerning risk management, helping teams to identify, treat, monitor, and report risks. 📍Meet with several departments on a quarterly and ongoing basis to monitor risks, ensuring that risk management practices are consistently applied and updated.
Who you are:
📍A keen interest in stocks and financial services from a technical and market dynamics perspective. 📍Previous experience in risk management with a focus on credit or liquidity risk. 📍Strong Python skills appropriate for developing and maintaining models, with a working understanding of SQL data manipulation a bonus. 📍A self-starter who’s able to operate in an ever-changing environment. Someone who can consistently contribute ideas and demonstrate ownership. 📍Someone who takes pride in bringing risk-management topics to life, embedding risk management practices that are high output, low friction.