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Applications close October 8th, 2026

Non-Credit Risk Management Specialist

Auto-translated from Slovenian · original: Specialist za upravljanje nekreditnih tveganj

4 × 9hr days100% payHybrid · Koper or Ljubljana

Non-Credit Risk Management Specialist (m/f)

The right decisions start where data reveals risks and opportunities.

Good decisions are not only important for today's business, but also for the long-term stability of the bank. The long-term success of the bank is based on well-considered decisions. A significant part of these decisions is contributed by experts who know how to understand risks, identify the essential in data, and show how the bank can respond to changes in a timely manner.

We are looking for an experienced professional who knows how to place data in a business context, identify key risks, and translate their findings into recommendations that decision-makers can rely on.

If you are attracted to a role that intertwines financial markets, data analytics, and bank balance sheet management, and you want to use your knowledge to influence important business decisions, we invite you to join our team.

What do we offer?

  • Stability and flexibility: permanent employment (6-month probationary period) and flexible working hours.
  • Challenging analytical content: data and models that support bank management.
  • Professional development: participation in the development of models, methodologies, and analytical approaches in the field of risk management.
  • International environment: cooperation with the banking group and other professional areas.
  • Knowledge and career development: professional onboarding, training, and support for competence development and career path, with opportunities for advancement.
  • Well-being: inclusion in health care, accident, and pension insurance programs.
  • Connected team: working with experienced colleagues in a professional and encouraging environment.
  • More than just work: numerous sports, social, and team events at the bank and banking group level.

What will your work involve?

  • preparing analyses and professional foundations for liquidity and interest rate risk management,
  • connecting risk data with the bank's business, investment, and other decisions,
  • processing and analyzing data from various sources and ensuring its quality,
  • participating in the development and upgrading of models and methodologies for measuring and monitoring risks,
  • preparing regulatory reports and reports for the management board, supervisory board, and the parent bank,
  • participating in the preparation of public disclosures and the bank's annual reports,
  • monitoring regulatory requirements and regulations in the field of risk management,
  • preparing data, analyses, and professional foundations for internal and external audits,
  • participating in the bank's development, regulatory, and strategic projects.

Who are we looking for?

We are looking for a person - an experienced professional who is comfortable with data, understands its connection to business decisions, and knows how to present complex findings clearly and usefully.

We value:

  • a distinct analytical approach and a passion for working with data,
  • the ability to connect data with business decisions,
  • independence and proactivity at work,
  • precision and a responsible attitude towards data quality,
  • clear and professional communication,
  • good organization and cooperation with others,
  • the ability to maintain a broader perspective while paying attention to details.

What do we expect?

  • university degree in economics, mathematics, statistics, or another relevant field,
  • experience in processing and analyzing large amounts of data,
  • ability to prepare professional analyses and foundations for decision-making,
  • good knowledge of SQL,
  • good knowledge of Microsoft Office tools,
  • active knowledge of Slovenian and English.
  • experience in managing liquidity, market, or interest rate risk,
  • advanced knowledge of Microsoft Excel,
  • knowledge of Slovenian and European banking regulations (desirable).

Are you interested?

If you want to use your analytical knowledge and understanding of risks in decisions that significantly affect balance sheet management and the long-term stability of the bank, we invite you to send us your application with a CV.

We accept applications until 08.10.2026. We look forward to meeting you.