Global Market Risk Capital Specialist

ing

Warszawa

On-site

PLN 79,000 - 162,000

Full time

11 days ago
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Job summary

ING Hubs Poland is seeking a Financial Risk Specialist II to oversee global financial risks within the Bank and advise on Market Risk capital. The role involves coordinating risk analyses, supporting capital appetite frameworks, and leading global risk projects.

The ideal candidate will have a finance-related degree, English fluency, and experience or strong interest in banking risk management, with the ability to present complex topics clearly.

Qualifications

  • Experience in the financial sector or strong potential to build a career in banking and risk management.
  • Degree in Economics, Econometrics, Applied Mathematics, Finance, or related field.
  • Fluent in English.
  • Knowledge of Economic Capital and IRRBB would be a strong asset.
  • Comfortable preparing presentations and explaining complex topics clearly.

Responsibilities

  • Global oversight of Financial Risks within the Bank.
  • Coordinate, challenge & perform in-depth financial risk analyses and assessments.
  • Support and improve the Capital Risk Appetite and limit setting, allocation and monitoring.
  • Provide guidance and advise to Senior Management on Market Risk capital.
  • Be the centre of expertise for Market Risk Capital Frameworks for the Banking Books.
  • Lead for different global financial risk related projects.
  • Follow, interpret and execute regulator developments in Market Risk Capital for banking book.

Skills

Analytical skills
Financial sector experience
English fluency
Presentation skills
Stakeholder management

Education

Degree in Economics/Econometrics/Finance

Job description

ING Hubs Poland is seeking a Financial Risk Specialist II to oversee global financial risks within the Bank and advise on Market Risk capital. The role involves coordinating risk analyses, supporting capital appetite frameworks, and leading global risk projects.

The ideal candidate will have a finance-related degree, English fluency, and experience or strong interest in banking risk management, with the ability to present complex topics clearly.

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