Manager Financial Risk Management

Vye Professionals

Bussum

On-site

EUR 60,000 - 100,000

Full time

14 days+

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Job summary

Ein dynamisches Beratungsunternehmen sucht erfahrene Risikomanager, die ihre Beratungsfähigkeiten im Finanzrisikomanagement weiterentwickeln möchten. In dieser spannenden Rolle agieren Sie als Sparringspartner für internationale Finanzinstitute und sind verantwortlich für die Beratung zu Risikomodellen und Governance. Sie werden in einem dynamischen Umfeld arbeiten, in dem Ihre Expertise und Ihr Unternehmergeist geschätzt werden. Wenn Sie eine Leidenschaft für Finanzrisiken haben und bereit sind, sich in einem spezialisierten Team weiterzuentwickeln, ist diese Gelegenheit ideal für Sie.

Qualifications

  • 2-5 Jahre relevante Berufserfahrung im Finanzrisikomanagement.
  • Masterabschluss in einem quantitativen Studiengang erforderlich.

Responsibilities

  • Beratung von Finanzinstitutionen zu Risikomodellen und Governance.
  • Unterstützung bei der Implementierung von Risikomessungen.

Skills

Finanzrisikomanagement
Governance und Richtlinien
Beratungskompetenzen
ALM
Marktrisiko
Kreditrisiko
Liquiditätsrisiko
Fließend Englisch
Fließend Niederländisch
Deutsch (von Vorteil)

Education

Masterabschluss in Ökonometrie
CFA/FRM/PRM

Job description

Our client is seeking experienced risk managers who have the ambition to develop their advisory skills and content knowledge within financial risk management. Acting as a sparring partner to international financial institutions your role will not only consist of managing and changing governance and policies but also the developments of risk management from a process and strategic perspective.

Activities and Responsibilities

  • Advising financial institutions surrounding their financial risk models, policies and governance;
  • Support our clients in the implementation of their risk measurement and management;
  • Translate (new) rules and regulations into business processes;
  • Identify business opportunities for both existing and/or potential clients;
  • Contribute to the knowledge sharing and development within the team;
  • Proactively extend your consultancy skills and the specialized knowledge necessary.
Requirements
  • 2 to 5 years relevant work experience in the field of financial risk management. Content knowledge surrounding ALM, market risk, credit risk and/or liquidity risk management;
  • Completed Master’s degree, preferably in Econometrics or another quantitative study, further related qualifications also beneficial such as CFA/FRM/PRM;
  • Fluent in English and Dutch with German considered an advantage due to recent business activities in Switzerland;
  • Open to travel, mainly within the Netherlands;
  • Aspiration to work in a dynamic niche consultancy with the ambition of further developing content knowledge;
  • Pro-active and entrepreneurial spirit, in combination with strong team work ethics.
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