





* Assist in the analysis of bank-wide risk exposure, trends and root causes in Liquidity, Funding and Market Risk * Develop an understanding of a wealth manager’s business model and a bank’s balance sheet * Bring in new ideas to contextualize and visualize data to facilitate understanding and decision making * Learn about 2nd line of defence and contribute to the execution of risk controls on all Treasury related risk management activity * Support special projects related to front-office trading, model validation, data handling and stress testing * Building strong working relationships with internal teams, including understanding their daily processes