Senior Market Risk Professional
7 dagen geleden
Knab is a forward-thinking bank that seeks to revolutionize the financial industry with innovative solutions. As a Senior Market Risk Professional, you will play a pivotal role in shaping the bank's risk management framework.
You will be responsible for facilitating the implementation of a sound risk management framework for interest rate risk and liquidity risk throughout Knab. This involves working closely with various teams to ensure that the process and controls in place are properly designed and effective.
As a member of the Market Risk Management team, you will be expected to represent the team on liquidity risk-related topics and, where applicable, the MRM team as a whole in internal and external meetings and committees.
Key responsibilities include:
- Supervising team members on specific tasks such as reporting, policy updates, methodology updates, and reviews;
- Taking ownership of building and maintaining the liquidity risk framework;
- Supporting the improvement of the bank's liquidity risk management function;
- Overseeing the liquidity infrastructure in our ALM tool, taking initiative to improve and maintain;
- Performing reviews on proposals from ALM, such as the funding plan;
- Monitoring liquidity management performance and reporting to the ALCO;
- Providing best practices on liquidity risk management across the team and broader within the risk domain;
- Familiarizing yourself with the regulatory and macroeconomic environment and providing opinions and advice on potential impact and development work to be done related to such changes.
The Market Risk Management team within Knab consists of dedicated risk specialists who work closely together with other teams within the bank. As a Senior Market Risk Professional, you will be part of a stimulating environment and work with ambitious colleagues.
We are looking for a motivated individual with ambitions to grow in the field of market risk. Requirements include:
- An academic degree in a quantitative or financial discipline (e.g. econometrics, artificial intelligence, mathematics or physics); preferably you hold a risk certification (e.g. FRM);
- A minimum 7+ years of experience in market risk, liquidity risk, or treasury;
- Experience in liquidity risk, leadership skills, and the ability to motivate team members in order to successfully complete projects;
- Experience with ILAAP, liquidity reporting (LCR, NSFR, ALMM, AER), and Stress Testing models;
- A team player who can adapt and learn at a quick pace and is able to coach team members;
- Strong stakeholder management skills, comfortable challenging internal and external stakeholders to ensure a smooth process in, for example; model validation, internal and external audits, and the regulator's review.
We offer a challenging and dynamic work environment where you can grow and develop your skills. If you are passionate about market risk management and have the required skills and experience, we encourage you to apply for this exciting opportunity.
Team
The Market Risk Management team within Knab consists of dedicated risk specialists who work closely together with other teams within the bank. As a Senior Market Risk Professional, you will be part of a stimulating environment and work with ambitious colleagues.
Profile
We are looking for a motivated individual with ambitions to grow in the field of market risk. Requirements include:
- An academic degree in a quantitative or financial discipline (e.g. econometrics, artificial intelligence, mathematics or physics); preferably you hold a risk certification (e.g. FRM);
- A minimum 7+ years of experience in market risk, liquidity risk, or treasury;
- Experience in liquidity risk, leadership skills, and the ability to motivate team members in order to successfully complete projects;
- Experience with ILAAP, liquidity reporting (LCR, NSFR, ALMM, AER), and Stress Testing models;
- A team player who can adapt and learn at a quick pace and is able to coach team members;
- Strong stakeholder management skills, comfortable challenging internal and external stakeholders to ensure a smooth process in, for example; model validation, internal and external audits, and the regulator's review.
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