Financial Sector Economist – SD Modelling Collaboration

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🕒 Janeiro 7

🇺🇸 Estados Unidos – Remoto (EUA)

⏳ Contrato/Temporário

🟠 Sênior

🔴 Especialista

💸 Planejamento e Análise Financeira (FP&A)

🗣️🇺🇸🇬🇧 Inglês obrigatório

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WITTIGONIA

1 - 10 funcionários

Fundada em 2014

📣 Marketing

📦 Logística

💼 Consultoria

Marketing • Logistics • Consulting

A WITTIGONIA é uma consultoria de estratégia de crescimento digital e dados que ajuda organizações a melhorar a visibilidade, geração de leads e desempenho por meio de planejamento orientado por dados, otimização e expansão. Eles fornecem serviços como estratégia de marketing digital e otimização de campanhas, análise de dados e dashboards de KPIs, implementação de Zoho CRM e automação de marketing, workshops de simulação de gestão e fortalecimento de equipes, além de orientação em estratégia de recrutamento. A WITTIGONIA trabalha com empresas, marcas e organizações do setor público, compartilhando insights por meio de um blog, eventos e podcasts, com ênfase em dados centrados na privacidade e desempenho sustentável.

Descrição

• Review and validate the model's representation of banking sector behaviour - lending dynamics, capital management, credit risk, and liquidity - ensuring assumptions reflect supervisory reality • Contribute to the literature review and benchmarking of comparable international modelling approaches in financial stability and institutional risk • Help frame the conceptual model: identifying the key feedback loops, behavioural mechanisms, and macro-financial linkages that matter most in a regulatory context • Participate in periodic remote working sessions with the project team and, where relevant, with the client's technical staff • Review and strengthen technical reports and documentation, translating model outputs into language that resonates with supervisory stakeholders • Support knowledge transfer activities, helping the client's team internalise the model's logic and assumptions

🎯 Requisitos

• Postgraduate degree (Masters or higher) in economics, finance, risk management, or a related field • 10+ years of experience in financial sector analysis, banking supervision, financial institution risk, or regulatory and supervisory advisory roles • Direct experience working with or advising financial regulatory or supervisory institutions - central banks, financial sector authorities, or multilateral development institutions such as the IMF, World Bank, or regional equivalents • Solid grounding in how banking institutions behave under stress: capital adequacy frameworks, liquidity management, credit risk dynamics, and the feedback between macroeconomic conditions and institutional risk profiles • Ability to work across disciplines - translating regulatory and supervisory logic into structured analytical frameworks that can be operationalised in a simulation model • Excellent written and spoken English; able to communicate complex financial concepts clearly to both technical and non-technical stakeholders • Comfortable working in a small, agile, internationally distributed team with a remote-first culture • Familiarity with stock-and-flow consistent models, System Dynamics, agent-based modelling, or other simulation approaches is an advantage but not required • Experience in financial sector technical assistance, capacity-building, or IFI-funded consulting projects is a strong plus • Knowledge of Basel III frameworks, macroprudential tools, or financial stability analytical methodologies is an asset

🏖️ Benefícios

• Benefit from working in a forward thinking team • Work with cutting-edge simulations from top-tier institutions and bespoke WITTIGONIA insights models • Opportunity to travel and lead sessions across diverse audiences and industries • Remote-first collaboration paired with in-person engagements where needed • Continuous professional development in systems thinking, group model building, and workshop design • Be part of a growing facilitator pool with opportunities to deliver across Europe and globally

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