Graduate – Financial Risk Reporting – based in Luxembourg

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Company NameEuropean Investment Bank (EIB)
Company TypeGovernment
Job TypeFull-Time
Salary RangeMarket Competitive
LocationPrague, Prague, Czechia
QualificationsBachelor’s Degree
ExperienceNo Experience / Fresh

Job Overview

The European Investment Bank (EIB) is seeking a motivated Graduate to join their Financial Risk Reporting team, with the role primarily based in Luxembourg. This opportunity offers a chance to gain valuable experience in financial risk management within the EU’s bank, contributing to sustainable investment projects and EU policy objectives.

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. As the largest multilateral borrower and lender, EIB provides finance and expertise for sound and sustainable investment projects that contribute to EU policy objectives and make a strong impact on people’s lives in Europe and beyond. EIB’s activities are primarily focused on Europe, but also extend to implementing the financial aspects of the EU’s external and development policies, offering lending, blending, and advisory services.

Quick Details

  • Salary Range: Market Competitive
  • Job Type: Full-time
  • Qualifications: Bachelor’s Degree
  • Experience: No Experience / Fresh

Key Responsibilities

  • Assist in the preparation of accurate and timely financial risk reports.
  • Support the collection, validation, and analysis of financial data for risk metrics.
  • Contribute to the monitoring and assessment of market, credit, and operational risks.
  • Learn and apply relevant regulatory frameworks and reporting standards.
  • Collaborate with senior analysts to optimize reporting processes and tools.
  • Provide support for ad-hoc analysis and special projects within the risk reporting function.

Requirements

  • University degree (Bachelor’s or Master’s) in Finance, Economics, Statistics, or a related quantitative field.
  • Strong analytical and problem-solving skills with meticulous attention to detail.
  • Proficiency in Microsoft Excel; familiarity with financial data systems is a plus.
  • Excellent communication skills in English, both written and spoken, other EU languages are an asset.
  • Ability to work independently and as part of a diverse, multicultural team.
  • Demonstrated interest in financial markets, risk management, or regulatory reporting.

Benefits

  • Opportunity to contribute to impactful EU policy objectives and sustainable investment projects.
  • Work within a leading international financial institution with a diverse and inclusive team.
  • Comprehensive training and professional development programs tailored for graduates.
  • Competitive salary and a robust benefits package.
  • Exposure to complex financial risk management practices and a dynamic industry.
  • A stimulating intellectual environment that fosters learning and career growth.

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