Senior Analyst, Limit Solutions and Support, Nordea Asset Management

Købanhavn K, DK, 1402

Job ID: 22708 


Would you like to be a part of an experienced and skilled team? We are now looking for a Senior Analyst to strengthen our team, with established experience within the Risk Management area.

Nordea Asset Management (NAM) is the centre of investment management in the Nordea Group and in the Asset & Wealth Management division. NAM is the largest asset manager in the Nordics with the vision of being a leading European Asset Manager. We want to do this by delivering returns with responsibility. We meet customer demands and guide our customers in the right direction in asset selection while ensuring prudent ESG practices. NAM has around 900 employees and more than 475 Nordic and international institutional clients. 


About this opportunity

Welcome to the Limit Solutions and Support team. We add value by delivering trustworthy asset management to Nordea and our customers. As a senior analyst, you’ll play a valuable role in setting risk boundaries for our product ranges and institutional clients whilst ensuring scalability and efficiency.

What you’ll be doing:

  • Configure/code restrictions in Simcorp Dimension, Compliance Manager
  • Impact analysis on limits when implementing new products and instruments
  • Translating new- and changes to existing regulation into configurable restrictions
  • Assist Portfolio managers and Traders with pre-trade support
  • Facilitate data excellence across the value chain 


You’ll join a highly dedicated team of experienced specialists. The role is based in Christianshavn, Copenhagen. 

Who you are

Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.   


To do well in this role, we believe that you:

  • Detail oriented and analytical 
  • Enjoy building relations across a complex matrix organisation 
  • Are a team player


Your experience and background:

  • Experience with SimCorp Dimension is an advantage 
  • Knowledge and interest in financial markets and financial instruments
  • Interested in data, databases and its applicability when analysing
  • Have a degree in finance, economics, mathematics or similar 
  • Experience with complex organisations and decision structures

 

If this sounds like you, get in touch!

 

Next steps

Submit your application no later than 30/04/2024. For more information, you’re welcome to contact Jens-Kristian Bagger Jensen, jenskj@nordea.com +4526352873. 

At Nordea, we know that an inclusive workplace is a sustainable workplace. We deeply believe that our diverse backgrounds, experiences, characteristics and traits make us better at serving customers and communities. So please come as you are.

 

Please be aware that any applications or CVs coming through email or direct messages will not be accepted or considered.

Department:  Asset management / Investment management

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