Graduate – Financial Risk Reporting – based in Luxembourg
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| Company Name | European Investment Bank (EIB) |
| Company Type | Government |
| Job Type | Full-Time |
| Salary Range | Market Competitive |
| Location | Luxembourg |
| Qualifications | Bachelor’s Degree |
| Experience | No Experience / Fresh |
Job Overview
The European Investment Bank (EIB) is seeking a Graduate for Financial Risk Reporting based in Luxembourg. This entry-level role offers an excellent opportunity to contribute to the bank’s financial risk management and reporting activities, supporting EU policy objectives and sustainable investment projects.
Company Overview
The European Investment Bank (EIB) is the European Union’s bank, owned by and representing the interests of the European Union Member States. Working closely with other EU institutions, EIB implements EU policy as the largest multilateral borrower and lender by volume. It provides finance and expertise for sound and sustainable investment projects that contribute to furthering EU policy objectives, with over 90% of its activity focused on Europe, alongside implementing the financial aspects of the EU’s external and development policies. EIB offers financing through loans, guarantees, microfinance, and equity investment, blends support to unlock funding from other sources, and advises on administrative and project management capacity to facilitate investment implementation. More information can be found at http://www.eib.org.
Quick Details
- Salary Range: Market Competitive
- Job Type: Full-time
- Qualifications: Bachelors-degree
- Experience: No Experience / Fresh
Key Responsibilities
- Assist in the collection, validation, and analysis of financial risk data.
- Support the preparation of comprehensive financial risk reports for internal management and regulatory bodies.
- Contribute to monitoring market, credit, operational, and other financial risks.
- Learn and apply relevant regulatory frameworks and reporting standards.
- Collaborate with senior analysts on various risk assessment and reporting projects.
- Maintain and improve data quality and reporting processes.
Requirements
- University degree in Finance, Economics, Business Administration, or a related quantitative field.
- Strong analytical and problem-solving skills with attention to detail.
- Excellent written and verbal communication skills in English; knowledge of other EU languages is an asset.
- Proficiency in Microsoft Office Suite, particularly Excel.
- Eagerness to learn and develop a career in financial risk management within a banking environment.
- Ability to work effectively both independently and as part of a diverse, multicultural team.
Benefits
- Opportunity to launch a career in a leading international financial institution.
- Comprehensive training and professional development programs.
- Exposure to complex financial instruments and risk management practices.
- Competitive salary and benefits package.
- Work in a dynamic and inclusive multicultural environment in Luxembourg.
- Contribute to impactful projects that support EU policy objectives and sustainable development.
