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This job expired on 03/08/2026. It no longer accepts applications.
Graduate Financial Risk Reporting – Luxembourg
European Investment Bank (EIB) · Région de Bruxelles-Capitale
Job description
About the role
The European Investment Bank is looking for a graduate to join its Group Financial Risk Department in Luxembourg. You will support the development and continuous improvement of risk metrics, reporting and data quality across Treasury & Liquidity, Asset & Liability Management and Risk Data & Processes divisions.
Key responsibilities
- Assist in migrating daily liquidity risk reporting to interactive Power BI dashboards.
- Help implement econometric models (e.g., stress testing, ESG scoring) on a Python‑based platform.
- Perform data checks, reconciliations, data extraction and creation of reports and dashboards.
- Support monitoring and reporting of the Bank’s FX and interest‑rate positions.
- Contribute to ALCO and Management Committee topics such as pre‑payment option spread and liquidity risk premium.
Required profile
- Recent graduate (Bachelor’s or Master’s) in finance, economics, mathematics or a related field.
- Willingness to rotate among Treasury & Liquidity, Asset & Liability Management and Risk Data & Processes units.
- Ability to work under supervision and collaborate with senior colleagues.
- Interest in an international, multicultural environment.
Required skills
- Power BI
- Python
- Microsoft Excel (advanced)
What we offer
- Full‑time, two‑year fixed‑term contract.
- Relocation support and the chance to work at the EIB headquarters.
- Exposure to a wide range of financial risk activities in a European institution.
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European Investment Bank (EIB)
Région de Bruxelles-Capitale
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