Senior Risk Manager (m/w/d) Market & Liquidity Risk
Senior Risk Manager (m/w/d) Market & Liquidity Risk
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Selby Jennings is currently working with an international bank based out of Frankfurt, on a Senior Risk Manager role.
This will be a hybrid position, where you will be able to work 2 days a week from home.
Main responsibilities:
- Lead analysis and oversight of market and liquidity risks.
- Enhance internal risk systems and strategies in line with regulatory standards (MaRisk, ICAAP, ILAAP).
- Deliver risk reports to senior leadership and regulators.
- Conduct stress tests and scenario analyses.
- Collaborate cross-functionally with Treasury, Compliance, and Credit teams.
- Contribute to strategic risk-related projects and audits.
Your profile:
- Bachelor’s or Master’s degree in Economics, Finance, Mathematics or similarly related fields.
- Expertise in regulatory frameworks, i.e. MaRisk, CRR/CRD
- Proven experience working in financial risk management, within the banking/FS industry.
- Fluent in both English and German (min. B2).
If you are interested in discussing this role in a more detail - please apply with your current CV in PDF format, or reach out directly to giovanny.benztio@selbyjennings.com.
We'll be looking forward to your application. Please note that only applicants whose profile matches the requirements will be contacted. Your application will be treated confidentially.
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