.NET Developer (Capital Markets Risk)
Numer ref.: 29199
Oferta opublikowana: 15 września 2026
Typ pracy: Kontrakt
Ważna do: 15 października 2026
Opis Pracy
Location: Wrocław or Poznań
Hybrid work model (approximately 2 days per week in the office)
Availability: ASAP / within 1 month
Rate: 120 - 130 PLN/h + VAT
About the Role:
We are looking for an experienced .NET Developer to join a Capital Markets team focused on the Risk domain. In this role, you will contribute to the design, development, and maintenance of critical applications supporting risk analysis, reporting, and risk management processes across capital markets products.
Responsibilities:
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Design, develop, and maintain scalable applications using C# and .NET technologies
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Develop and optimize SQL queries, stored procedures, functions, and database objects within Oracle environments
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Support the development and enhancement of risk management systems related to Credit Risk, Counterparty Credit Risk Management (CCR/CCM), and Treasury risk
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Work with data and business logic connected to capital markets products, including Bonds, Repos, and Derivatives
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Collaborate with business stakeholders, risk managers, and analysts to translate business requirements into technical solutions
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Provide technical support, investigate application issues, and implement effective resolutions
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Conduct code reviews and ensure adherence to development standards and best practices
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Optimize application and database performance by identifying and resolving bottlenecks
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Create and maintain technical documentation, including design specifications and support materials
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Work closely with developers, QA engineers, and project stakeholders within an Agile environment
Requirements:
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5-8 years of professional experience in software development
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Strong hands-on experience with C# and .NET, including .NET Core
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Proficiency in writing complex SQL queries and working with database schemas and data manipulation
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Solid experience with Oracle databases and PL/SQL development
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Proven experience within the Capital Markets domain
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Direct experience within the Risk domain, including Credit Risk, Market Risk, or Operational Risk
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Knowledge of Bonds, Repos, Derivatives, Counterparty Credit Risk Management, and Treasury products or operations
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Strong analytical and problem-solving skills
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Ability to debug and resolve complex technical issues
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Good verbal and written communication skills
Nice to Have:
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Experience working in Agile/Scrum environments
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Familiarity with Git or other version control systems
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Experience with unit testing, integration testing, and test automation
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Exposure to Azure, AWS, OCI, or other cloud platforms
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Experience with cloud-native development
What We Offer:
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Multisport card
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Private healthcare
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Group life insurance
Opis Firmy

