Senior Quantitative Risk Analyst

2 months ago


Oslo, Norway Nordea Bank Full time

Job ID: 25561 

Model Development, Quantitative Finance

Are you good at pricing derivatives and would you like to develop the state of the art models for estimating future financial risks? We are now looking for a Senior Quantitative Risk Analyst to improve our assessment of the credit risk in Nordea's derivative transaction business.


At Nordea, we know our customers’ needs are changing – and we’re deeply committed to meeting them with the financial solutions of tomorrow. We’re creating an agile environment where we’re harnessing the power of technology – one where you can make an impact. So bring your skills, ideas and unique background. With us, you’ll find plenty of opportunities to grow and make your mark on something bigger. 

About this opportunity

Welcome to the Counterparty Credit Risk Models team. We add value by developing internal models that measure and predict the credit risk of derivative transactions, thereby keeping the bank safe and trusted. As Senior Quantitative Risk Analyst you’ll play a valuable role in making sure that we make the most accurate counterparty credit risk predictions, and that our models are reliable and well understood. 

What you’ll be doing:

Come up with new ideas to measure counterparty credit risk, for example in relation to collateral agreements Analyse and visualize the performance of existing and new models Be a sparring partner in model validations of derivative pricing models and other components of counterparty credit risk models Collaborate with the other teams in the counterparty credit risk value chain: for example model validation, infrastructure, IT, front office

Who you are

Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.


Most likely you are experienced in derivative pricing models, preferably in the interest rate, FX, or inflation market. Apart from experience in quantitative finance you might also have experience from working in a risk area in a bank. You have a strong analytical background from a M.Sc. or Ph.D. in a quantitative field, such as economics, finance, engineering, physics, mathematics, econometrics or similar.


If this sounds like you, get in touch



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