About us
Kronia is the next-generation partner for Digital Transformation. With the mission to accelerate the digital state of companies worldwide, Kronia® focuses on Cloud, Data and AI strategy and execution while delivering a comprehensive Cybersecurity framework and a comprehensive set of IT services. We believe in a high trust and performance culture that shapes how our professionals proudly represent our brand with every service and project we operate. Kronia® is the pioneer IT brand revolutionizing the workplace with an innovation ecosystem through talent, services, products and solutions with strong industry know-how and expertise. Our remote-native culture and systematic approach to developing modernized IT skills and driving high performance bring differentiated value to our clients. Kronia® is the place where the best tech talent on earth can secure a distinguished and personalized life and career experience.
We are looking for a Market Risk – Investments Analytics & Technology Consultant to join our team and support high‑impact initiatives focused on investment analytics, risk management, and financial technology solutions.
This role combines technical expertise, analytical thinking, and stakeholder collaboration to help deliver scalable and data‑driven solutions within investment and market risk environments.
What you’ll do
- Support market risk and investment analytics initiatives across technology and business teams
- Work with Market Risk & Portfolio Analytics processes and reporting
- Analyze Fixed Income products and sensitivities
- Support Stress Testing and P&L Analytics initiatives
- Contribute to Valuation and Risk Reporting activities
- Collaborate with Risk, Finance, Accounting, and Technology teams to deliver business solutions
- Participate in the enhancement and optimization of analytical and reporting processes
- Support dashboard creation and reporting automation initiatives
- Work with investment and risk management platforms such as Summit, Murex, Calypso, Aladdin, or similar systems
- Ensure data quality, consistency, and alignment with business objectives
What we’re looking for
- Experience working in Market Risk, Investments, Portfolio Analytics, or Financial Risk domains
- Strong understanding of Fixed Income products, risk sensitivities, and valuation concepts
- Experience with Stress Testing, P&L Analysis, and Risk Reporting
- Knowledge of investment/risk platforms such as Murex, Summit, Calypso, Aladdin, or similar
- Experience with dashboards, reporting automation, and financial analytics processes
- Strong analytical and problem‑solving skills
- Ability to collaborate with both business and technology stakeholders
- Strong communication skills and ability to work in collaborative environments
- Fluent English required
Soft skills
- Analytical and detail‑oriented mindset
- Strong communication and stakeholder management skills
- Ability to adapt in fast‑paced environments
- Collaborative and proactive approach to problem solving
Interested or know someone who might fit?
Apply directly: [email protected]
Lugar de trabajo: Empleo remoto