Risk Manager (m/w/d)
One of our clients, a large international financial institution focused on retail and corporate banking, is currently searching of a capable candidate for a risk manager role to join their risk team in Frankfurt. You would be reporting to the Senior Vice President, as well as having direct exposure to the management board, local regulators and external auditors. The bank is looking for a versatile generalist to cover a number of tasks and offers a lot of development, support and flexibility.
Your responsibilities:
- Reporting on credit, market and liquidity risk, as well as related reports on structural interest rate risk
- Working on regulatory reports that include LCR and NSFR
- Maintaining, improving and developing new risk methodology instruments, such as Interest Rate Risk Models and Stress Testing Framework
- Communicating with the Managing Board and Supervisory Board
- Project based work with internal stakeholders
Your Qualifications:
- A degree in Economics, Finance or similar
- Around three years of experience in risk controlling or similar departments
- Understand international and German Risk Management regulations (such as MaRisk, CRD and KWG)
- Great English skills (knowledge of German language is also a welcome attribute)
- Strong IT affinity
- Team player mentality
Of course, we would be happy to provide further details to you. Please apply here or get in touch with Alper Kavak directly - his number is +49 30 166 389 734.