In response to the increasing stringency of regulations within the EU, we are seeking a candidate for long-term employment with a stable financial company in Slovenia for the position of
Liquidity and Interest Rate Risk Manager
The position requires relocation to Slovenia, and comprehensive support for this process will be provided to the selected candidate.
The ideal candidate meets the following criteria:
- At least a Bachelor's degree in economics, mathematics, or another relevant field
- Excellent knowledge of designing models to mitigate liquidity and interest rate risks
- Several years of experience in assessing liquidity and interest rate risks
- Strong analytical skills
- Experience in recovery and stress testing
- Familiarity with the ICAAP and ILAAP processes
- Precision, reliability, and credibility
- Proficiency in MS Office
- Fluent in English, with a willingness to learn Slovenian
- A valid Category B driver's license
This position offers a stable, long-term opportunity in a peaceful and beautiful part of Slovenia, within a smaller financial institution. Interested candidates will receive all additional information during the initial interview.