Non-Financial Risk Manager (f/m/d)

Deutsche Börse Group

Frankfurt

Vor Ort

EUR 80.000 - 100.000

Vollzeit

vor 24 Stunden
Sei unter den ersten Bewerbenden
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Zusammenfassung

Deutsche Börse Group in Frankfurt am Main invites you to join the Enterprise Risk Management team as a Non-Financial Risk Manager within the ICS & BCM Unit. You will help coordinate non-financial risk assessment, internal controls, and resilience initiatives across Eurex Clearing AG.

The role focuses on risk identification, scenario analyses, reporting, and enhancing risk frameworks, with collaboration across business units and a strong emphasis on communication in English and German.

Qualifikationen

  • Degree in business, finance, economics or risk management.
  • 2–3 years in operational risk, internal control, or audit/consulting.
  • Knowledge of RCSA, KRIs, scenarios and regulatory requirements.

Aufgaben

  • Identify non-financial risks and develop risk scenarios and indicators.
  • Assess risks using indicators, loss data and reports for management.
  • Support risk framework enhancements and tool development (data, automation).
  • Prepare periodic risk reports for management and governance bodies.

Kenntnisse

Risk assessment
RCSA
Scenario analysis
KRIs
Regulatory knowledge
Data analytics
Communication
Stakeholder mgmt
English
Teamwork

Ausbildung

Bachelor’s degree in Business Administration/Finance/Economics/Risk Management

Tools

Power BI
Power Automate
MS Office

Jobbeschreibung

Your career at Deutsche Börse Group
(This position is limited until 29 February 2028)
Your area of work:

The Non-Financial Risk, ICS & BCM Unit within Enterprise Risk Management (ERM) coordinates and oversees the non-financial risk management, internal control, and resilience activities of Eurex Clearing AG (ECAG). The team supports the identification, assessment, monitoring and reporting of non-financial risks, the enhancement of the internal control environment, and the strengthening of operational resilience and business continuity capabilities across the organization.

As a Non-Financial Risk Manager, you will support business units in the identification, assessment and monitoring of non-financial risks across ECAG. Your responsibilities will include conducting risk assessments and scenario analyses, analyzing risk indicators and loss data, and preparing regular and ad-hoc risk reports for management. You will also contribute to the further enhancement of non-financial risk management frameworks, methodologies and tools.

Your responsibilities:
  • Support business units in identifying non-financial risks and developing risk scenarios and corresponding risk indicators
  • Act as a trusted advisor to ECAG business units, reviewing and challenging identified non-financial risks to ensure completeness, consistency, and proactive risk mitigation
  • Assess non-financial risks through the analysis of risk indicators, internal/external loss data, and other relevant information
  • Contribute to strengthening risk awareness and fostering a strong risk culture across the organization
  • Support the enhancement and maintenance of the Internal Control System and maintain close alignment with business continuity and operational resilience activities
  • Develop, maintain, and enhance risk management frameworks, methodologies, policies, and procedures
  • Prepare periodic and ad-hoc reports on non-financial risk exposures, loss events, and related issues
  • Support the enhancement of risk management tools, including requirements definition, testing, and user acceptance testing (UAT)
Your profile:
  • University degree in Business Administration, Finance, Economics, Risk Management, or a related field
  • 2-3 years of professional experience in operational risk management, internal control, or a related audit/consulting function, preferably within an international banking, financial market infrastructure (FMI), clearing, or securities processing environment
  • Strong understanding of operational risk management frameworks and methodologies, including risk and control self-assessments (RCSA), scenario analysis, key risk indicators (KRIs), operational risk loss data management, and risk appetite frameworks
  • Good understanding of quantitative and qualitative risk assessment methodologies, including risk quantification and stress testing techniques
  • Good understanding of regulatory requirements relevant to operational risk management within financial institutions and financial market infrastructures (e.g. EMIR, DORA and KWG)
  • Knowledge of operational risk capital methodologies and associated concepts (e.g. VaR, loss distributions and scenario-based approaches) would be considered an advantage
  • IT affinity and experience with data analytics, business intelligence and process automation tools (e.g. Power BI and Power Automate) would be considered an advantage
  • Strong analytical skills, creativity, critical thinking, ability to identify problems and propose solutions
  • Ability to explain complex concepts to non-experts while maintaining both strategic and detail-oriented perspectives
  • A strong team player with excellent communication, presentation, and stakeholder management skills
  • Proficiency in written and spoken English; fluency in German would be a plus
  • Very good command of MS Office applications
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