Senior Market Risk Manager

4 weken geleden


Amsterdam, Noord-Holland, Nederland Knab Voltijd

Knab is a financial services company that aims to provide simpler, smarter, and more advantageous services for its customers. As a Senior Market Risk Manager, you will play a crucial role in implementing a sound risk management framework for interest rate risk and liquidity risk throughout the company.

Main Responsibilities:

  • Develop and maintain the liquidity risk framework.
  • Represent the team on liquidity risk-related topics and internal and external meetings and committees.
  • Supervise team members on specific tasks such as reporting, policy updates, methodology updates, and reviews.
  • Take ownership of building and maintaining the liquidity risk framework.
  • Support the improvement of the bank's liquidity risk management function.
  • Support and oversee the liquidity infrastructure in our ALM tool, take initiative to improve and maintain.
  • Perform a review on proposals from ALM, like the funding plan.
  • Monitor liquidity management performance and report to the ALCO.
  • Provide best practices on liquidity risk management across the team and broader within the risk domain.

Team:

The Market Risk Management team within Knab consists of dedicated risk specialists who maintain the market risk framework of the bank. In this, we work closely together with other teams within the bank. If you join the Knab Risk Management team, you will work together with ambitious colleagues and we will provide you with a stimulating environment.

Profile:

We are looking for a motivated individual with ambitions to grow in the field of market risk. More specifically, we look for the following requirements:

  • 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 all of the following is preferred: ILAAP, liquidity reporting (LCR, NSFR, ALMM, AER), Stress Testing models.
  • 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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