Professional/Senior Country Risk Analyst (f/m/x)

Raiffeisen Bank International AG

Vienna, Austria


38.5k€+ (jährlich)

Sonstige Bereiche

Nov 12

International business requires an international corporate philosophy. Are you open to new ideas and do you value cultural diversity? At Raiffeisen Bank International, we are pleased to have more than 16 million customers in 13 CEE countries. And our journey continues – with exciting new issues for us to tackle such as digitalisation and changing customer needs. Join us on our journey.

Professional/Senior Country Risk Analyst (f/m/x)

Analysis Countries is the risk analysis department, with the primary aim of critically evaluating macroeconomic, political, and financial markets development in the world economy and their impacts on country/sovereign credit risk and portfolio implications for RBI Group. The unit serves as a core competence for identifying key risks and opportunities in the countries where RBI Group has a footprint.
Do you see the big trends that are facing the world economy currently and Europe in particular? Will you provide well-argued input to the risk decision making process? Then you are likely the one we are looking for to join us.

What you can expect:

  • Analyze and rate Sovereigns/Countries in emerging as well as developed markets
  • Produce and present condensed, well-argued, and decision-enhancing analysis on countries as well as events
  • Monitor risk-relevant developments of selected countries and their impact on the Banking system
  • A system-thinking approach to connect geopolitical, macroeconomic, and financial markets assessment and their implications for RBI Group’s portfolio
  • Cooperate closely with risk and business managers as starting point in the risk decision making process
  • Participate in projects and data initiatives

What you bring to the table:
  • Strong interest in global macroeconomics and financial markets
  • Curiosity to explore complex economic and political interlinkages
  • Ability to articulate a clear vision of risk-relevant macroeconomic and political trends
  • Distinct analytical thinking as well as excellent communication skills
  • Understanding of ESG risks and implications for sovereign
  • Independent, flexible self-starter and result-oriented team-player
  • University degree in economics (if business: strong economics focus)
  • Business level command of English
  • Data skills and manipulation skills (scripting language, such as R or Python) of advantage
  • Some work experience preferably in economic research/Risk Management in an international bank/institution

What we offer:
  • You’ll work in an international team at a leading bank
  • You’ll benefit from flexible working arrangements and determine your own work-life balance
  • You’ll benefit from the very latest in tailored professional development
  • You’ll earn an appropriate salary starting at 38.500 gross p.a. excluding overtime
We are looking forward to receiving your online application!


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