Risk Oversight Specialist – Oslo (Market Risk Focus)

Skandinaviska Enskilda Banken AB

Oslo

Hybrid

NOK 900,000 - 1,200,000

Full time

6 days ago
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Job summary

Skandinaviska Enskilda Banken AB in Oslo seeks a Risk Officer to join the Risk Oversight team. The role focuses on monitoring and reporting market and other risk exposures, supporting business understanding of risks, and ensuring risk controls and reporting meet internal and external standards.

The candidate should have a strong background in market risk within the financial sector, plus the ability to work across products and risk types, with opportunities for professional growth in a

Qualifications

  • Bachelor’s or Master’s degree in Economics, Finance, Mathematics, Engineering or another relevant field.
  • Relevant professional experience from the financial sector, preferably banking/risk management.
  • Good understanding of market risk and practical experience in analyzing or monitoring exposures.
  • Knowledge of market risk measurement, limits, risk drivers and products is valued.
  • Interest in broadening across credit, liquidity and non-financial risks.

Responsibilities

  • Understand the local business profile and inherent risks.
  • Understand SEB risk frameworks across credit, market, liquidity and non-financial risks.
  • Understand local regulatory requirements on risk control.
  • Support the business in identifying and understanding risks.
  • Prepare risk reports for local management and monitor risk limits.
  • Escalate breaches per SEB instructions and follow up on risk reduction.
  • Ensure units know the risk management framework and tools.

Skills

Market risk
Risk management
Regulatory knowledge
English communication

Education

Bachelor’s or Master’s degree in Economics, Finance, Mathematics, Engineering

Job description

Skandinaviska Enskilda Banken AB in Oslo seeks a Risk Officer to join the Risk Oversight team. The role focuses on monitoring and reporting market and other risk exposures, supporting business understanding of risks, and ensuring risk controls and reporting meet internal and external standards.

The candidate should have a strong background in market risk within the financial sector, plus the ability to work across products and risk types, with opportunities for professional growth in a

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