Market Risk Management Expert
4 dagen geleden
As a key member of the Market Risk Management team at ING NL, you will play a vital role in managing the balance sheet of our organization.
We are an energetic team of highly qualified professionals, responsible for hedging our interest rate and liquidity risks in close cooperation with the ING Group Treasury department.
Your Main Responsibilities
- You will become responsible for managing a significant portion of our assets and liabilities, contributing to around one-third of our overall P&L.
- Your main task will be to hedge the balance sheet in order to realize a stable margin and Net Interest Income for ING.
- You will monitor and model client behavior, using big data analytics to spot emerging trends.
- You will provide advice to the business tribes in pricing and product decisions, requiring a deep understanding of our product offerings.
- You will maintain good relations with our stakeholders, including CRO NL divisions, Finance, the Business Tribes, Group Financial Risk, Model Validation, Group Treasury, and external stakeholders such as ECB, DNB, and the external auditor of ING.
Requirements
- An academic degree (MSc or PhD), preferably in Econometrics or other quantitative studies such as Mathematics, Engineering, or Physics.
- Completed additional professional qualifications in the financial risk field, such as CFA, FRM, or the willingness to do so.
- Minimum of 2 to 3 years of relevant experience in the financial sector, including banking, insurance, or consulting.
- Extensive knowledge of financial risk management, relevant regulations, modeling, and hedging techniques.
- Knowledge of behavioral ALM models, as well as experience with SQL, coding (Python, R), and ALM systems.
What We Offer
We offer a unique opportunity to develop a successful career in managing market risks, with a competitive salary, 24-27 vacation days, pension scheme, 13th month salary, Individual Savings Contribution, and 8% Holiday payment.
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