Zanders | The Financial Risk Management Masterclass

DATE:20 November – 09.30- 20.00

‘From valuing derivatives, to interest rate risk to behavioural models: understanding the business model of a bank’

  • Why do banks require quantitative graduates?
  • What is the conceptual framework by which the business model of a bank can be defined?
  • What is the optimal asset and liability mix for a bank?

These are just a few of the questions that will be answered during our Financial Risk Management Masterclass. During this day you will bring your academic quantitative knowledge into practice and learn how you can add value to a business model of a bank. Our experienced consultants are going to tell you all about their choice for Zanders and their experiences in the field of Financial Risk Management and Consultancy. They will share with you why they choose for this field of expertise during interactive training sessions. At the end of the day, you will have the real Zanders Financial Risk Management Consultant experience!

We will focus on the following topics:

  1. Mortgage Valuation
  2. Non-Maturing Deposits Modelling
  3. Interest Rate Risk in the Banking Book (IRRBB)

What we expect from you

  • Challenge yourself
  • Bring your entrepreneurial spirit
  • Learn as much as possible
  • Have fun!

How to apply?

Are you a quantitative Master student (Econometrics, Quantitative Finance, Mathematics or other related study) and ready to start your career in risk management? Are you a third year Bachelor student and curious to know more about risk management and consultancy? Sign up now! Limited number of spots available. You can apply for this event by sending for contact information to the link below. The deadline for applying for this event is on the 1st of November 2019.

Practical Information

Date: Wednesday, the 20th of November 2019
Time: 9:30 – 20:30 (Lunch and dinner with our consultants included!)
Place: Bussum

About us

We are a leading international consultancy firm focused on Treasury Management, Risk Management and Corporate Finance. From our offices in the Netherlands, Belgium, United Kingdom, Switzerland, Nordics, U.S. and Japan, our 170 consultants advise corporates, financial institutions, public sector entities and NGO’s.

We believe that developing our people by investing in them and by sharing knowledge and experiences is our differentiator and key to success. That is why we create an inspiring work environment and foster our open, family atmosphere in which freedom, fun and flexibility play an important role.

You will meet some colleagues of our ‘Financial Institutions’ team, a team of 60 Financial Risk Management Consultants (95% have a quantitative background). This team focuses on financial risk related projects for banks, insurers and asset managers. They advise our clients surrounding statistical techniques, financial risk related complexities and technology advancements in financial institutions.


For more information about the risk management event of the year, contact Rossella Cecchini, campus recruiter, on +31 35 692 89 89 or

Click here to apply!