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Opportunity for new Graduates - Risk Management at the European Investment Bank (EIB)

Functie omschrijving

As a GRAD in RM, you can expect to gain exposure to a number of the Directorate’s key activities of the Bank according to business needs and your own background and experience. Under the guidance of more senior colleagues, and reporting to the Head of Division/Head of Unit, you will support your team through a variety of activities, including, but not restricted to:
• Research and the preparation of briefings, reports and presentations on relevant industry news, information and statistics
• Risk analysis and financial modelling
• Risk data management and reporting
• Risk pricing and other calculations

Functie eisen

• In addition to the knowledge and skills already mentioned, the following would also be beneficial:
o A first practical work experience in a relevant domain, for example
o Risk assessment/management for a range of banking products
o Credit/financial analysis and financial modelling
o Risk pricing/calculations
o Data extraction, analysis and/or reporting
• Proficiency in Word, Excel and PowerPoint is a must. Knowledge of Business Objects, Visual Basic, relational databases and/or mathematical or statistical software would be an asset
• Excellent knowledge of English and/or French. Knowledge of other EU languages would be an advantage.
Achievement Drive: Continually keeps an eye on performance, focusing on improving it, showing drive and determination to meet short and long-term goals.
Change Orientation: Adapts to differences and changes in the environment; takes a flexible approach to reach outcomes.
Collaboration: Works cooperatively as part of a team; works collaboratively with peers across organisational boundaries based on a genuine interest in and an accurate understanding of others and their individual perspectives and concerns.
Organisational Commitment: Is willing to commit to an organisation whose mission is to support Europe and is open to diversity, and to align her/his own behaviour with the organisation’s needs and intrinsic values, acting with integrity in ways that promote the organisation’s mission, policies and rules.


We are an equal opportunity employer, who believes that diversity is good for our people and our business. As such, we promote the inclusion of suitably qualified and experienced staff without regard to their gender, age, racial or ethnic origin, religion or beliefs, sexual orientation/identity, or disability.
The level of functions in the job vacancy is only indicative and will be adjusted accordingly taking into account, among other things, the business need, as well as the selected candidate’s experience and expertise
Deadline for applications: 6th September 2019
Targeted start date: by 1st December 2019
We aim to fill up to 3 vacancies this year. If you perform well at interview but are not immediately selected, we will inform you and retain your details in a “talent pool” to be considered for future GRAD opportunities in RM, which may arise in early 2020.


The EIB, the European Union's bank, in the framework of its GRAD programme, is seeking to recruit at its headquarters in Luxembourg: Graduates for the Risk Management Directorate
• Do you have a University degree in Banking, Finance, Economics, IT or a Quantitative subject (such as Maths, Statistics, Engineering)?
• Are you familiar with risk management concepts, methodologies and/or tools?
• Are you keen to kick start your career in a multicultural and dynamic environment?
If so, please keep reading to find out more about opportunities for you to apply your skills and knowledge in the EIB’s Risk Management Directorate
The term of the contracts will be 2 years, with the possibility of renewal, up to a maximum of 4 years.
Successful candidates will rotate within Risk Management every 6-12 months, according to business needs
Panel interviews are anticipated for mid October 2019.
We may kindly request your availability to complete online psychometric tests and further screening elements, at home, during the summer
Specific Post Environment
The Risk Management Directorate (RM) ensures that the EIB, the world's largest multilateral development bank, mitigates its risks and remains entirely self-financing over the long term while delivering new and innovative investment solutions to high-impact projects in Europe and around the world.
RM comprises 3 Departments and 2 independent Divisions:
• The Financial Risk Department (FIN) ensures that the EIB has sufficient treasury and liquidity to meet its obligations by analysing, monitoring and valuing different market risks, transactions, counterpart risks and portfolios, and by assessing the risk profiles of specific trades and setting base ratings
• The Operations Department (OPE) delivers independent opinions on the credit risk involved in each loan/equity finance proposal to the Management Committee, including recommendations on the finance structure, and checks compliance with the relevant credit policy guidelines and approved individual and sectoral limits
• The Regulation & EIB Group Risk Department (REG) takes care of: Capital requirements and Risk calculations, projections and reporting; Risk Model review, testing and validation; Monitoring and Reporting of the EIB Group’s key risk metrics
• The Management & Business Support Division provides strategic support to the Directorate’s senior management, in particular, macro-economic researches.
• The Coordination & Operational Risk and Information/Cyber Security Division is in charge of providing general services to Managers and Staff (such as HR and Budget), as well as is in charge of the Operational Risk of the EIB.

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European Investment Bank

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