Risk Management Analyst (M/F) - Casablanca

Project Management / R&D - Secteur Banking / Finance

  • Entry Level (-1 year)
  • Casablanca and region - Morocco
  • Master or PhD Minimum - Engineering School

Search for new things / novelty Rationalism Need for action Ambition Need for autonomy

  • Permanent contract
  • Teleworking : No
Posted 8 days ago on ReKrute.com - Apply before 11/11/2026

Behind The Brand

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Company :

With its universal banking model, its pan-African dimension, the complementarity of its businesses, and its strong expertise, the Attijariwafa bank group is a key player in the financial sector in Morocco and Africa.

Attijariwafa bank has reinvented itself over more than a century by diversifying its businesses, renewing its offers, and adapting its organizations to meet its ambition of becoming the leading relationship bank.

The Attijariwafa bank Group currently supports nearly 12 million individual, professional, business, and institutional clients and employs 22,000 staff in 27 countries in Africa, Europe, and the Middle East.

As the leading financier of the national economy, the primary collector of savings, and the main player in electronic payments in Morocco, the various performances of the Attijariwafa bank Group confirm its strategic choices and position it as the undisputed leader in the national banking and financial sector.


The Group is a leading banking and financial player in the region and has the largest branch network in Africa with over 7417 bank branches.
 

Company culture :

Attijariwafa bank operates within a predominantly collaborative culture, placing people, trust, and teamwork at the heart of its organization. The bank promotes close and supportive management, fostering accountability, development, and strong professional relationships. This human-centered approach is balanced by a strong performance-driven mindset, emphasizing ambition, continuous improvement, and customer focus. It also embraces innovation, supported by structured processes that ensure reliability, efficiency, and operational excellence.

Job :

We are looking for a Risk Management Analyst to join our Global Risk Management department. If you are motivated and want to grow in a stimulating environment, this opportunity is for you!

Your mission:

As a Risk Management Analyst, you will actively contribute to the design, calibration, and maintenance of internal rating models for both the bank and its local and international subsidiaries.


Your responsibilities will include:

• Designing internal rating models.
• Processing and analyzing data needed for modeling, particularly using SAS software.
• Ensuring the follow-up, monitoring, and conducting of backtesting and calibration exercises for internal rating models.
• Carrying out simulations and mock-ups for the pre-validation of rating systems.
• Contributing to projects related to risk management (rating tools, etc.)
• Conducting various studies on rating and producing reports on its mapping.
 

Required profile :

• Master's degree (Bac+5 level), a recent graduate from an Engineering School, specializing in Finance, Applied Economics, Modeling, Statistics, etc.
• You have mastered software like SAS, Python, R, etc.
• You have analytical and synthesis skills.
• You are organized, rigorous, and a team player.


Why join us?

• Join a leading Group in the financial market, focused on people and innovation, and certified Top Employer for 4 consecutive years.
• Benefit from a stimulating work environment and numerous professional development opportunities.
• Enjoy competitive benefits (attractive compensation, continuous training, etc.).

Send us your CV, we look forward to discovering your profile!

Head office address :

2 Boulevard Moulay Youssef 20250 Casablanca

Desired personality traits :

Search for new things / novelty Rationalism Need for action Ambition Need for autonomy

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