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Model Validation Specialist; f​/m​/d

in Frankfurt, 60306, Frankfurt am Main, Hessen, Deutschland
Unternehmen: Deutsche Börse AG
Vollzeit position
Verfasst am 2026-02-01
Berufliche Spezialisierung:
  • Finanz/Rechnungswesen
    Datenwissenschaftler, Bankanalyst
Gehalts-/Lohnspanne oder Branchenbenchmark: 40000 - 60000 EUR pro Jahr EUR 40000.00 60000.00 YEAR
Stellenbeschreibung
Stellenbezeichnung: Model Validation Specialist (f/m/d)
Location: Frankfurt

Overview

Your career at Deutsche Börse Group

This position is limited until 28.02.2027.

Your area of work

Clearstream, part of the Deutsche Börse Group, is a leading global provider of post-trade services, offering settlement, custody, and collateral management solutions. Our expertise ensures stability, efficiency, and transparency in financial markets worldwide.

The Model Validation Team plays a critical role in safeguarding the robustness, accuracy, and regulatory compliance of the risk models used across Clearstream. As a full-time Model Validation Specialist, you will contribute directly to the integrity of our risk framework and help ensure that our models meet high quantitative and regulatory standards.

Your responsibilities

As a Model Validation Specialist, you will:

  • Independently validate risk models used for operational, credit, market, and liquidity risk management
  • Conduct advanced statistical analyses, benchmarking, and backtesting to assess model performance
  • Review and challenge model assumptions, methodologies, conceptual soundness, and implementation
  • Design and execute stress-testing and scenario analysis to assess model behavior under extreme conditions
  • Propose enhancements to improve model robustness, accuracy, and regulatory compliance
  • Collaborate closely with model developers, risk managers, and stakeholders across the organization
  • Draft comprehensive validation reports aligned with internal standards and regulatory frameworks (e.g., CSDR, MaRisk, ECB guidelines)
  • Support internal and external audit processes and regulatory inquiries
Your Profile

We are looking for an analytical and proactive professional with the following qualifications:

  • Master’s degree in a quantitative field such as Finance, Mathematics, Statistics, Physics, Computer Science, Economics, or related discipline
  • Minimum of 2–3 years of relevant professional experience
  • Strong programming skills in Python; experience with libraries such as Num Py, pandas, Sci Py, or scikit-learn is a plus
  • Solid understanding of statistical analysis, probability theory, time series analysis, predictive modeling, and machine learning methods
  • Knowledge of financial products (e.g., fixed income, derivatives) and risk management concepts
  • Experience with model development, validation, or quantitative risk analysis is a strong advantage
  • Excellent quantitative problem-solving abilities and a rigorous, detail-oriented working style
  • Ability to interpret, explain, and critically assess complex data and models
  • Strong communication skills, with the ability to articulate complex quantitative concepts to diverse stakeholders
  • Ability to manage multiple tasks, work independently, and collaborate effectively within a team environment
  • Proactive mindset with a willingness to challenge assumptions and propose improvements
  • Former management experience is an advantage
  • Fluent in English (spoken and written);
    German language skills are an advantage
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