Support projects related to customer credit risk, trade finance, and bank risk management. Conduct research and analysis based on macroeconomic developments. Assist in evaluating short-term country risks and gain exposure to hedging instruments.
This role involves preparing and publishing the Group's external financial reports, including annual and interim financial statements, the management report, and regulatory filings. The Specialist will ensure compliance with IFRS and internal reporting standards, manage the disclosure tool, and act as the primary point of contact for external auditors.