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An international trading platform is seeking a highly-motivated Financial Risk Manager to join their rapidly growing team. With bases in Europe, America and Asia already, the next step is building up their Frankfurt base even more. This company allows banks, brokers and trading desks to trade in FX, Cryptocurrencies, commodities, shares and more.
As the Senior Risk Manager on the team, you will measure and monitor the financial risks of the company and work closely with regulators:
*Monitor, review and measure the Risk metrics, encompassing both market and counterparty
credit risk
*Be the key person in control of developing the ICAAP.
*Provide detailed and accurate reports of the stress testing scenarios, to ensure all financial risks
are identified and interpreted
*Creation of regulatory and statistical reports according to CRD and KWG
*Collaborate and interact frequently with regulators such as Bafin
*Develop, and monitor the Risk framework an control processes for the German entity.
As Senior Risk Manager you will bring:
*A degree or equivalent in a financial or econometric field
*Minimum 3 years' experience working in the Risk team of a bank or financial institution in
Germany
*Strong knowledge of Basel III, CRD IV, and KWG
*German and English speaking
Senior Risk Manager
- Location Frankfurt am Main
- Job type Permanent
- Salary Negotiable
- Discipline Risk Management
- Reference PR/272614_1597906954
As the Senior Risk Manager on the team, you will measure and monitor the financial risks of the company and work closely with regulators:
*Monitor, review and measure the Risk metrics, encompassing both market and counterparty
credit risk
*Be the key person in control of developing the ICAAP.
*Provide detailed and accurate reports of the stress testing scenarios, to ensure all financial risks
are identified and interpreted
*Creation of regulatory and statistical reports according to CRD and KWG
*Collaborate and interact frequently with regulators such as Bafin
*Develop, and monitor the Risk framework an control processes for the German entity.
As Senior Risk Manager you will bring:
*A degree or equivalent in a financial or econometric field
*Minimum 3 years' experience working in the Risk team of a bank or financial institution in
Germany
*Strong knowledge of Basel III, CRD IV, and KWG
*German and English speaking