Veröffentlicht am: 10.09.2024

Auftragsart: Festanstellung

Branche: Finanzdienstleistung

 
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A leading bank is seeking a highly qualified Senior Risk Analyst F/M to join their risk management team. The ideal candidate will be responsible for enhancing the bank’s risk management framework, ensuring compliance with regulatory standards, and proactively managing a range of risks across the organization.

Key Responsibilities:

  • Policy Development: Develop, review, and enhance internal policies, procedures, and guidelines to ensure adherence to risk management best practices, regulatory standards, and internal control objectives.

  • Risk Management: Actively participate in managing large exposures, capital ratio compliance, capital management, market risk, liquidity risk, and operational risk management.

  • Risk Assessment: Conduct comprehensive risk assessments to identify potential vulnerabilities and propose strategies to mitigate these risks effectively.

  • Risk Monitoring: Proactively identify, quantify, and monitor risks on a firm-wide and individual entity basis, ensuring ongoing vigilance and responsiveness.

  • Internal Controls: Design and execute testing procedures to evaluate the effectiveness of internal controls. Identify deficiencies, propose areas for improvement, and develop mechanisms to monitor and report on control performance.

  • Process Optimization: Identify opportunities to streamline processes, enhance controls, and optimize operational efficiencies by implementing innovative solutions and best practices.

  • Audit Collaboration: Collaborate with internal and external audit teams to facilitate audit planning, provide necessary documentation and evidence, and address any findings or recommendations arising from audit activities.

Qualifications:

  • Experience: At least 5 years in risk management within the banking sector, with a strong understanding of regulatory requirements and internal control frameworks.
  • Skills: Strong analytical and problem-solving skills, with the ability to communicate complex risk concepts clearly and effectively.
  • Knowledge: In-depth knowledge of risk management practices across various domains, including market risk, liquidity risk, and operational risk.
  • Language: Fluency in both French and English is required.

If you are interested in this opportunity, please send your application to Raphael COHEN, Morgan Philips Executive Search.
Your application will be treated with the utmost discretion.

Kontakt

Raphaël Cohen

Morgan Philips Executive Search
74, avenue de la Faïencerie
L-1510 Luxembourg
Luxemburg

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Bewerben als Senior Risk Analyst F/M - Corporate Banking
Referenz: LU863940
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