Senior Risk Expert (Finance, Warsaw/Stockholm/Helsinki/Remote)

Copenhagen, Capital Region
Posted 2 months, 1 week ago
Finance and Accounting

About the role

Job summary

The position involves working as a Senior Risk Expert in the Risk Models department, focusing on regulatory and strategic projects related to internal models and data management in the banking sector.

Qualifications

  • Minimum of 7 years of relevant experience in risk management.
  • Strong understanding of IRB credit risk models and related regulations.
  • Master’s degree in economics, finance, or a related field.
  • Experience in banking, regulatory, or consulting roles is preferred.
  • Excellent analytical, organizational, and stakeholder management skills.
  • Strong written communication abilities.
  • Proficiency in a Scandinavian language or Finnish is a plus, but not mandatory.

Responsibilities

  • Act as a subject matter expert on IRB credit risk models and regulatory models for counterparty and market risk.
  • Monitor EU and Nordic regulatory developments and evaluate their impact on internal models.
  • Coordinate supervisory interactions regarding IRB models.
  • Support project development and engage with internal stakeholders.
  • Maintain and enhance governance frameworks, including policies and documentation.
  • Advise on regulatory expectations and assist with group-level regulatory interpretation.

Education

  • Master’s degree in economics, finance, or a related field is required.

Tools

  • Familiarity with risk management tools and regulatory frameworks is essential. The role may involve using various analytical and reporting tools relevant to risk assessment.
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