Graduate - Stress Testing - based in Luxembourg

European Investment Bank (EIB) (Amsterdam)

  • Onbekend
  • Mathematics, Physics, Business Administration
  • Senior
  • 0 keren bekeken
  • Laatste update 16-12-2025
  • Onbekend

Over het bedrijf European Investment Bank (EIB)

+ Lees volledige omschrijving

Vacature

This position is based at our Luxembourg headquarters and requires regular office presence. The EIB offers you the opportunity to live and work in a truly international and multi-cultural environment. We also offer relocation support.

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The EIB , the European Union's bank, in the framework of its GRAD programme, is seeking to recruit for its Group Risk & Compliance Directorate (GR&C), Regulation & EIB Group Risk Department (GREG), Capital Planning & Stress Testing Division (CPST), Stress Testing Unit (STU) at its headquarters in Luxembourg, a Graduate – Stress Testing*.

  • Internal benchmark Graduate

This is a full-time temporary position.

The term of this contract will be until December 15th, 2027

Panel interviews are anticipated for January 2026

Purpose

Support the maintenance, development and implementation of the EIB Group Solvency Stress Testing Framework and the Solvency Stress Testing Programme, in order to keep the Bank at the forefront of market and regulatory developments in stress testing and comply with internal stress testing requirements.

Operating Network

Reporting to the Head of the Stress Testing Unit, you will work in close collaboration with colleagues in the Capital Planning Unit and the Capital Management Division, with regular contact across Risk Management and with other Directorates e.g., Finance/Funding, Financial Control, Portfolio Management & Monitoring, IT, the General Secretariat and with the European Investment Fund (EIF). You will also interact, on a case-by-case basis, with internal auditors, the Bank's Audit Committee, etc.

Accountabilities

  • Support the development and implementation of the annual Group Solvency Stress Testing Programme
  • Assist in executing Bank and Group-wide stress test exercises as defined in the annual Group Solvency Stress Testing Programme and any ad-hoc stress test requests, including preparing and reconciling data and performing stress test calculations for various metrics
  • Perform initial reviews of executed stress tests and assist in drafting analyses under guidance from senior colleagues
  • Help prepare the necessary information and presentations for the Solvency Stress Testing Steering Committee, Management Committee or Risk Policy Committee regarding stress testing activities
  • Assist in maintaining and updating the Group Solvency Stress Testing Framework or policies and procedures that define the Group solvency stress testing activities to ensure adherence with internal standards, best banking practices and regulatory requirements
  • Participate in assessing the impact of new business developments or new modelling initiatives on the stress testing of EIB Group risk capital metrics
  • Support the team’s efforts to further automate the stress testing processes and enhance the stress testing IT and data infrastructure to allow the stress testing function to perform independent runs and sensitivity analyses leveraging on IT systems
  • Assist the management team in coordinating the Division's work plan, liaising with internal stakeholders to support awareness and execution of stress testing activities
  • Contribute to the further development of Climate Risk Stress Testing and its integration into the EIB Group Solvency Stress Testing Framework.
  • Support the team in addressing any audit points, REP recommendations or validation recommendations related to stress testing activities

Qualifications

  • University degree (minimum an equivalent to a Bachelor), preferably in Business Administration, Economics, Mathematics, Physics, Statistics or other related discipline
  • A maximum 2 years of professional experience after your most recent graduation (excluding summer jobs and internships shorter than nine months). Some experience with bank stress testing methodologies would be considered an advantage
  • Strong quantitative and analytical skills and the ability to understand complex financial structures
  • Familiarity with the regulatory framework and recent regulatory developments would be an asset
  • Experience working with large data sets and solid IT background would be preferred
  • Sound knowledge of the MS Office pack (Word, Excel and PowerPoint). Good knowledge of VBA, SAS, Python, MATLAB, R or other programming languages
  • Excellent knowledge of English and/or French, with a good command of the other. Knowledge of other EU languages would be an advantage.

Competencies

Find out more about EIB core competencies here

To find out more about our eligibility criteria click here

We hire and value talent with unique characteristics, creating a work environment where they can be themselves. We believe that Diversity, Equity and Inclusion make us a performing and innovative organisation. We encourage all suitably qualified and eligible candidates to apply regardless of their gender identity/expression, age, racial, ethnic and cultural background, religion and beliefs, sexual orientation, disability or neurodiversity.

We strongly invite applicants with a disability, neurodivergent profile or chronic condition to request reasonable accommodations at any stage during the recruitment process. Please contact the EIB Recruitment team who will ensure that your request is handled.

By applying for this position, you acknowledge the importance of maintaining the security and integrity of the Information of the EIB Group. Xnkfpon In case of selection for the position you agree to comply with all measures (policies, controls, document classification and management) implemented by the EIB Group to prevent unauthorised disclosure of any information or any damage to the EIB Group reputation.

Deadline for applications: January 4th, 2026

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