quantitative risk analyst (market and credit risk)
24 Ιουλ 2026 · Grant Thornton Greece
Τι θα κάνεις
- Αναθεωρείς αρχεία πιστοληπτικής ικανότητας και αξιολογείς την πιστοληπτική ικανότητα.
- Πραγματοποιείς αποτιμήσεις εγγυήσεων για υποστήριξη ορθής λήψης αποφάσεων.
- Σχεδιάζεις και επικυρώνεις μοντέλα για διάφορα χαρτοφυλάκια πελατών.
- Υποστηρίζεις την υλοποίηση IFRS 9.
- Χρησιμοποιείς δεξιότητες διαχείρισης δεδομένων και προγραμματισμού για στατιστική δειγματοληψία και ανάλυση όπως VaR / sVAR.
- Ενσωματώνεις παράγοντες κινδύνου ESG στη διαδικασία ποσοτικής αξιολόγησης.
- Αναθεωρείς εκθέσεις Fair Value και διασφαλίζεις τη συμμόρφωση με κανονισμούς όπως CRR, CRD IV, EBA Guidelines και νέα πρότυπα ESG.
- Συνεισφέρεις στην ενίσχυση της κανονιστικής συμμόρφωσης και στη συνεχή βελτίωση του πλαισίου διαχείρισης κινδύνων.
Βασικές προϋποθέσεις
- 2+ χρόνια εμπειρίας
- Μοντέλα Market Risk και IRBBB.
- Μοντέλα Credit Counterparty Risk (CCR).
- Υλοποίηση IFRS 9 και αξιολόγηση Credit Risk.
- Αξιολόγηση Εγγυήσεων και Ανασκόπηση εκθέσεων Fair Value.
- Κανονιστική συμμόρφωση (CRR, CRD IV, EBA Guidelines) και Ενσωμάτωση ESG παραγόντων κινδύνου.
- Διαχείριση δεδομένων, Προγραμματιστικές δεξιότητες, Γνώση MS Office, Αναλυτικές ικανότητες, Δεξιότητες παρουσίασης και συγγραφής αναφορών
- Λογιστική / Διοίκηση Επιχειρήσεων / Οικονομικά / Χρηματοοικονομικά
Παροχές
- Πολύμορφο και περιεκτικό εργασιακό περιβάλλον, ανταγωνιστικός μισθός και μπόνους, ασφαλιστικό πρόγραμμα, πλήρως χρηματοδοτούμενη εκπαίδευση και επαγγελματικές πιστοποιήσεις, επιπλέον ημέρες αδείας, εταιρικές αθλητικές ομάδες και αποκλειστικές εκπτώσεις για τους εργαζομένους.
Περιγραφή Θέσης
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 a way that goes beyond — Personal, Proactive, and Agile.
We don’t predict the future here—we shape it. 🚀
Milestones WE are Proud of
🏆 Great Place to Work certified for four years running!
🌟Best Workplaces Hellas for 2025 & 2026!
👩💼 Best Workplaces for Women for four consecutive years!
⭐Best Workplace in Professional Services & Consulting for 2025 & 2026!
🎉Best Workplace for Young Professionals for 2026!
🌈 Proud members of the Diversity Charter Greece and certified with the SHARE Equality Label
🏠 Flexible way of Working (Hybrid)
🧠Coaching & Counseling from Senior Professionals
Grant Thornton always focuses on providing clients with value-added, forward-looking advice. For this reason, a specific Financial Services Department has been established which combines expertise from all Assurance, Advisory and Tax Business Lines. This Department consists of dedicated and experienced executives who specialize in providing services to several dynamic organizations in the Financial Sector. Through a wide range of integrated services, we identify the needs of our clients and offer a genuine collaborative approach ensuring flexible solutions that can be applied immediately and effectively.
We do not stop designing new services and enhancing existing ones adapting to the challenging environment. Our key industry specific solutions can be summarized in the following groups of services:
Financial Advisory
Internal Audit & Compliance
Portfolio Services
Audit & Assurance
Risk Services
Tax & Outsourcing Services
Operational Advisory
Environmental, Social & Governance (ESG)
The role in more detail:
As a Quantitative Risk Analyst (Market and Credit Risk), you will play a key role in strengthening our client's risk management framework. You’ll review credit files, assess creditworthiness, and perform collateral valuations that drive sound decision-making. You’ll design and validate models across different client portfolios, support the implementation of IFRS 9, and leverage your data management and programming skills to deliver meaningful insights through statistical sampling and analysis (VaR / sVAR etc.). Furthermore, you will integrate ESG risk factors into the quantitative assessment process, ensuring that climate-related and environmental risks are reflected in credit risk modeling and stress testing. In addition, you’ll review Fair Value exposures and ensure alignment with EU prudential regulation (CRR, CRD IV, EBA Guidelines, and emerging CSRD/EBA ESG standards), contributing to a culture of transparency, compliance, and continuous improvement.
The key requirements of this role are:
Minimum 2 years of experience in a similar role
A Bachelor’s Degree in Accounting/ Business Administration/Economics or relevant field
A Master’s degree in Finance/ Accounting will be considered as an asset
Strong analytical, presentation and report writing skills
Experience in market risk and IRBBB models
CCR models experience will be considered a strong asset
The ability to work in a team and to tight deadlines and the flexibility in approach
The ability to communicate in English and Greek and to be an experienced user of MS Office
What’s in it for You?
At Grant Thornton Greece, we believe that great work deserves great rewards! Here’s what you can look forward to:
🌈 Diverse and inclusive workplace
🏋️♂️ Friendly, Dynamic Working environment
💰 Competitive Salary & Bonus
🩺 Insurance Program for all GT members
👩🏫 Fully funded Training & Professional Qualifications
🏖 Extra Days-off: August Freedays, Volunteering Days, Early leave days
🏃🏽♂️ Corporate Sports Teams (e.g., Running, Basketball, Volleyball)
🎁 Exclusive Discounts: Special offers and discounts for employees


