Description
Senior Risk Manager Models, Systems en Control
The Financial Risk Management (FRM) team of our client is looking for new risk managers to strengthen the team that is responsible for managing the financial risks of the company itself and for providing risk management services to our clients.
As (senior) Financial Risk Manager you will be responsible for the risk management process and further development of the risk management framework. You will analyse investment risks and monitor if these are within appropriate limits. You will identify and address potential issues and report on those to all relevant stakeholders. Models, Systems and Control activities include risk monitoring, and the investigation and implementation of new methodologies and techniques for that. You will be the solution provider who understands and models risk sensitivities and uses those to report and control risk exposures. You will do this close cooperation with both portfolio managers and other internal stakeholders (Solvency II).
Job requirements:
- You have good analytical skills and experience with asset and investment risk, either within an Asset Manager or another Financial Institution.
- You enjoy working in a dynamic, professional, but sometimes hectic environment.
- For Modelling, Systems and Reporting, you need a strong quantitative background (econometrics, applied mathematics, etc.).
- Experience with risk systems and models.
- You are able to work effectively with specialists from different disciplines to realise creative but robust solutions.
- You are used to working with quantitative techniques and several software packages.
- Fluent in Dutch and English
- Only candidates that are already residing in The Netherlands can be considered
If you are interested in this position and your profile matches the job requirements, please apply below.
Contact
For more information about this position please contact:
Nienke de Kruijf
T: