Graduate – Financial Risk Reporting – based in Luxembourg
Apply to Job Here
| Company Name | European Investment Bank (EIB) |
| Company Type | Government |
| Job Type | Full-Time |
| Salary Range | Market Competitive |
| Location | Helsinki, Uusimaa, Finland |
| Qualifications | Bachelor’s Degree |
| Experience | No Experience / Fresh |
Job Overview
The European Investment Bank (EIB) is seeking a motivated Graduate to join their Financial Risk Reporting team. This full-time position is based in Luxembourg and offers a unique opportunity to contribute to sustainable investment projects within the EU’s bank. You will gain hands-on experience in financial risk analysis and reporting, supporting key EU policy objectives.
Company Overview
The European Investment Bank (EIB) provides finance and expertise for sustainable investment projects that contribute to EU policy objectives and make a strong impact on people’s lives in Europe and beyond. As the European Union’s bank, EIB is owned by and represents the interests of the EU Member States, working closely with other EU institutions to implement EU policy. It is the largest multilateral borrower and lender by volume, with over 90% of its activity focused on Europe, while also implementing financial aspects of the EU’s external and development policies. The EIB engages in lending, blending financial support from various sources including the EU budget, and advising on administrative and project management capacity to facilitate investment implementation.
Quick Details
- Salary Range: Market Competitive
- Job Type: Full-time
- Qualifications: Bachelors-degree
- Experience: No Experience / Fresh
Key Responsibilities
- Assist in the preparation and review of financial risk reports.
- Contribute to the analysis of financial data for risk assessment.
- Support the financial risk reporting team in daily operations.
- Help ensure compliance with regulatory and internal reporting standards.
- Participate in projects aimed at improving reporting processes and tools.
- Learn and apply methodologies for financial risk measurement and management.
Requirements
- University degree in Finance, Accounting, Economics, or a related quantitative field.
- Strong analytical and problem-solving skills with attention to detail.
- A keen interest in financial markets, risk management, and EU policies.
- Excellent communication skills, both written and verbal, in English.
- Ability to work effectively and collaboratively in a multicultural team environment.
- Proficiency in Microsoft Office applications, especially Excel.
Benefits
- Opportunity to launch your career within a leading European financial institution.
- Gain valuable hands-on experience in financial risk reporting.
- Access to professional development and learning programs.
- Work in a dynamic and international environment in Luxembourg.
- Competitive remuneration package and benefits.
- Contribute to impactful sustainable investment projects across Europe and beyond.
