Grant Thornton Greece
quantitative risk analyst (market and credit risk)
Sep 16, 2026 · Grant Thornton Greece
Αττική·Sep 16, 2026
ΑττικήHybridΧρηματοοικονομικάPermanentFull Time
JOBILY AI SUMMARY
What you'll do
- Review credit files and assess creditworthiness
- Perform collateral valuations
- Design and validate risk models across client portfolios
- Support IFRS 9 implementation
- Use data management and programming skills for statistical sampling and analysis
- Integrate ESG risk factors into credit risk assessments
- Review Fair Value exposures
- Ensure compliance with EU prudential regulation and ESG standards
Key requirements
- 2+ years' experience
- Market Risk and Credit Risk models experience
- Credit Counterparty Risk (CCR) models knowledge
- IFRS 9 implementation skills
- Statistical sampling and analysis proficiency
- ESG risk factors integration capabilities
- Fair Value exposure review and regulatory compliance knowledge
- Data management, programming, and MS Office proficiency
- Strong analytical, presentation, and report writing skills
- Accounting / Business Administration / Economics / Finance
Benefits
- Diverse and inclusive workplace, competitive salary and bonus, insurance program, fully funded training and professional qualifications, extra days off, corporate sports teams, and exclusive employee discounts.
About the job
At Grant Thornton Greece, we’re not just part of a global network of 76,000 professionals across 156 countries. We’re independent thinkers who prioritize quality, inclusion, and integrity to create a better, more personal experience for our clients and our team. Our mission? To deliver expertise in…




