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Director of the Financial Risk Department in Kredi Agrikol, bank

Posted more than 30 days ago

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Kredi Agrikol, bank

Kredi Agrikol, bank

0
0 reviews
Without experience
Kyiv
Full-time work

Translated by Google

functional responsibilities: Ensuring the compliance with the requirements of risk management policy, bank management strategy Coordination of development and implementation of internal financial risk management models Identification, measurement, monitoring and control of financial risks Organization and implementation of functional controls within an effective control environment development plans for the elimination/minimization of identified deficiencies Direct perform

functional responsibilities:

  • Ensuring the compliance with the requirements of risk management policy, bank management strategy
  • Coordination of development and implementation of internal financial risk management models
  • Identification, measurement, monitoring and control of financial risks
  • Organization and implementation of functional controls within an effective control environment
  • development plans for the elimination/minimization of identified deficiencies
  • Direct performance of the functions of risks coordinator
  • Provision of methodological and consulting support in matters relating to financial risk management
  • control, PTO 'Capital Department and Treasury
  • Controls related to asset and liabilities management
  • Organization and coordination li>

  • 5+ years in risk management or finance management with increasing level of responsibility
  • 5+ years of experience in one or more of the following areas: Financial risks including treasury risks, asset and liabilities management (ALM), liquidity and financing risks, market risks and interest in the banking book (IRRBB)
  • experience with a wide range of financial modeling methods, including, but not limited to: Interest rates, volatility, derivatives, risk cost, capital, forecasting methods, stress testing, script analysis, sensitivity analysis, raroc, liquidity and funding
  • The advantage will be a certificate of financial risk manager ( FRM)
  • Good data management skills
  • Ability to be convincing/-y with advanced strategic and analytical abilities
  • The level of English B2

Skill

strategic approach; enterprise risk management (ERM); risk management strategies; financial risk management (FRM); Financial Risks

  • Official Employment and Stable Work in one of the leading banking groups of Europe;
  • Fixed market wages, annual work award;
  • Social Package in accordance with Labor Code Health Insurance, Life Insurance, 28 Calendar Days;
  • convenient office arrangement in the center of Kiev near the subway, or the ability to work remotely. -weight: 400; FONT-STYLE: Normal "> Send your resume!

Translated by Google

Without experience
Kyiv
Full-time work
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