Financial Risk Specialist
1 maand geleden
In the current times of high market volatility due to economic and geopolitical uncertainty, the Counterparty Credit Risk (CCR) and collateral management of Financial Markets and Global Treasury (FM & GT) in particular, is high on senior management and regulators’ agendas. Risk Committees require information for strategical decisions and risk appetite management. Fast-evolving regulations require the industry and ING to implement and comply to new requirements. Internal audit in its role of 3rd line of defense, follows-up collateral (model) performance and governance closely.
The Team
The purpose of ING’s Trading Risk Management (TRM) department is to empower the business by providing pro-active trading risk management input in a work environment where we invest in our people, are committed to compliance and are masters of our time.
Within TRM, the IMVM team is a 2nd line of defense department that focusses on the different collateral aspects of risk management and more particularly on the monitoring and risk reporting aspects of variation margin and initial margin for FM & GT OTC Derivatives & Securities Financing transactions.
Within the TRM IMVM team, the candidate will have a unique opportunity to gain knowledge and experience in the risk-related aspects of collateral management. As a Financial Risk Specialist, you will work alongside a group of knowledgeable experts to ensure that ING holds sufficient good quality financial guarantees to weather any potential future storm in Financial Markets, and particularly in the counterparty credit risk area. Together with the team, your activity requires analysis, creation and coordination of risk reports and pro-active communication of your results to (senior) management and relevant stakeholders. Furthermore, you will actively participate in shaping the new risk-related collateral infrastructure which will be key for the long-term stability of collateral reporting and monitoring within ING. Finally, you will collaborate with Credit Experts on collateral related topics such as credit risk measurement and regulatory capital calculations.
Some of the aspects you will be involved with are:
Report Internal and Regulatory Collateral Risk on a monthly and quarterly basis
Take part in building the new collateral reporting solution and become the expert in the functional aspects of the new system
Participate in the automation of the report generation process and hand them over to the dedicated ING reporting team once finalized
Provide proactive collateral risk analysis and reporting during a crisis situation
Interact with the team’s stakeholders .: Collateral operations team, Counterparty Credit Risk, Finance and Front Office for improving standards or developing new (ad-hoc) reports/analyses
Utilize coding skillset to improve tasks, calculations and monitoring activities
If you are interested in working within a challenging and evolving business environment that combines knowledge of and affinity with Financial Markets, financial products, collateral and the implementation of future IT solutions, this is your opportunity.
Your work environment
With the IMVM team, you will be working in an Amsterdam based equal opportunities department as part of a team of 6 specialists who will be happy to welcome you into their midst. This multi-cultural, informal, and result-orientated team works from the office for 1-2 days per week and from home for the rest of the time. As sub-team of TRM, you will also be part of a larger, dynamic, and very international department.
Who we are looking for
A colleague with a talent for taking it on and making it happen, enthusiast in helping others to be successful and eager to always be a step ahead.
As a Financial Risk Specialist, you:
are organized and detail-oriented
are a team player with the ability to develop strong relationships and become a business partner
have strong analytical skills and can create, challenge and improve risk management techniques and measures
feel responsible and not afraid to take the lead in the subjects and projects that are being dealt with
have strong communication skills to interact with various stakeholders and team members on a day-to-day basis in a timely and professional manner
work independently and can simplify / put complex concepts and practices in the appropriate context that the addressed audience understands
If you recognize yourself in the above and you are up for a challenge, then apply through the below link to share your story and learn what we can offer you.
Your profile
A University degree in economics, econometrics, or other quantitative subjects
3-5 years’ experience within the (Financial) Risk area or other tangent disciplines
Proven knowledge of, and keen interest in financial markets and financial instruments
Experience with collateral and counterparty credit risk related topics
Good communication skills
Strong analytical skills with attention to detail and bottom line
Agile, independent, able to work with multiple stakeholders and able to adjust to change
Fluent in English (written & oral).
Proficient in, but not limited to, Excel, Python, PowerBI
Rewards and benefits
We want to make sure that it’s possible for you to strike the right balance between your career and your private life. You can find out more about our employment conditions at
The benefits of working with us at ING include:
A salary tailored to your qualities and experience
24-27 vacation days depending on contract
Pension scheme
13th month salary
Individual Savings Contribution (BIS), 3.5% of your gross annual salary
8% Holiday payment
Hybrid working to blend home working for focus and office working for collaboration and co-creation
Personal growth and challenging work with endless possibilities
An informal working environment with innovative colleagues
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