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  • Quantitative Analyst – Climate Risk
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    Quantitative Analyst – Climate Risk

    52 USD/hNet per hour - B2B
    52 USD/hNet per hour - B2B
    Type of work
    Full-time
    Experience
    Mid
    Employment Type
    B2B
    Operating mode
    Remote

    Tech stack

      FRM

      advanced

      GARP SCR

      advanced

      Python

      advanced

      Net-Zero

      regular

      Basel

      regular

      FRTB

      regular

      R

      nice to have

      SQL

      nice to have

      Matlab

      nice to have

    Job description

    Friendly offer

    Location: fully remote or Cracow

    Type: Full-time

    Rate: depends on your expectations

    Languages: English, Polish


    Key Responsibilities:


    🔹 Risk Model Development & Enhancement:

    • Design, implement, and maintain models for Counterparty Credit Risk (CCR) and Traded Risk, including VaR, Stressed VaR, RNIV, IRC, PFE, EPE, CVA, and Capital Models.
    • Develop Climate Risk models aligned with Science-Based Targets and sustainability objectives.
    • Ensure compliance with Basel III/IV, FRTB, and climate-related regulations.


    🔹 Model Validation & Governance:

    • Validate model assumptions and methodologies, assessing performance and regulatory alignment.
    • Document model development processes and results for internal governance and regulatory bodies.


    🔹 Climate Risk Integration:

    • Support the integration of climate risk factors into existing credit exposure models and stress-testing frameworks.
    • Leverage climate scenario analysis to evaluate physical and transition risks.


    🔹 Programming & Automation:

    • Develop Python-based tools, libraries, and analytics to enhance model efficiency and risk measurement processes.
    • Optimize and automate existing risk workflows and reporting processes.


    🔹 Cross-Functional Collaboration:

    • Work closely with traders, risk managers, climate strategy teams, and IT to deliver risk insights and ensure robust risk management frameworks.
    • Translate complex quantitative outputs into actionable insights for senior stakeholders.


    What We’re Looking For:


    ✅ Education & Qualifications:

    • Degree (MSc/PhD preferred) in Quantitative Finance, Mathematics, Statistics, Engineering, or a related field.
    • Professional certifications: GARP SCR, FRM, or equivalent Climate Risk credentials.


    ✅ Experience:

    • Proven experience (4+ years) in quantitative risk modeling, preferably within investment banking or consulting.
    • Hands-on experience in Climate Risk modeling, Climate Scenario Analysis, and alignment with Net-Zero/SBTI targets.
    • Deep understanding of Counterparty Credit Risk (CCR) and Traded Risk models under FRTB and Basel frameworks.


    ✅ Technical Skills:

    • Proficient in Python for model development (NumPy, Pandas, SciPy, scikit-learn).
    • Experience with SQL, MATLAB, or R is a plus.
    • Familiarity with climate data sets and sustainability reporting frameworks (TCFD, EU Taxonomy, etc.).


    ✅ Soft Skills:

    • Strong analytical and problem-solving abilities.
    • Excellent communication skills—capable of presenting technical content to non-technical stakeholders.
    • Collaborative mindset, able to work across multidisciplinary teams.


    52 USD/h

    Net per hour - B2B

    Apply for this job

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