[CLOSED] [FRANKFURT] Non-Financial Risk Manager (m/w/d) | Options Group
Non-Financial Risk

[CLOSED] [FRANKFURT] Non-Financial Risk Manager (m/w/d)

Our client, a globally acting bank in Frankfurt, is looking for an enthusiastic, self-motivated individual to join as a Non-Financial Risk Manager, acting as member of the second line of defense. This is a perfect opportunity to broaden one’s risk experience within an international environment and work directly with the CRO.

The role will include:

•Implement and monitor the Operational Risk Framework, including IT and model risk
•Responsible for Internal Controls
•Assessment, analysis and presentation of inherent and residual risk
•Manage and Coordinate the risk reporting process
•Deliver input for Quarterly and yearly Risk reports (including ICAAP, stress testing, etc)
•Deliver input for the yearly risk report to the supervisory board
•Responsible for second line checks on loss data base
•Act as Outsourcing Officer as well as IT Security Officer
•Contact person for internal and external stakeholders with regards to OpRisk
•Continuous risk reporting and monitoring of risk parameters. Recommend risk mitigation options according to the bank’s risk appetite.
•Analysis of new products processes against the risk system
•Ensuring compliance with risk policies, procedures and local risk regulations according to MaRisk
•Responsible for risk management in a timely manner. Make sure actions are taken and ownership is taken properly
•You report to and work directly with the Chief Risk Officer

The position requires:

•Several years of experience in Operational Risk and/or Risk Governance, ideally in an investment banking or commercial/corporate banking environment
•Experience with German Legal Framework and German Regulator
•Fluent English and German (written, spoken and read)
•Good analytical and problem solving skills
•Good interpersonal and communication skills

If you are interested in that position, please send me your resume and transcripts via email and let’s schedule a meeting.

Über Patrick Schaeffner

Patrick Schäffner ist zuständig für den Bereich Risk Management & Compliance im Frankfurter Büro der Options Group. Zuvor war er bereits erfolgreich bei einer Personalberatung tätig und hat Finanzinstitute, Advisory Boutiquen sowie Industriekunden aus dem DAX beraten. Herr Schäffner hat Moderne Chinastudien sowie Betriebswirtschaftslehre an der Universität zu Köln sowie in Dalian (China) studiert. Im Jahr 2019 beendete er mit Auszeichnung ein MBA-Studium, das seine Kenntnisse in sämtlichen Aspekten des Risikomanagements, Strategie und Management vertiefte.   Bei der Options Group betreut Herr Schäffner internationale Banken, Vermögensverwalter, Hedge Funds sowie Versicherer in Europa und Asien bzgl. deren strategischen Recruitings in Risk und Compliance. Er vertraut dabei auf einen strukturierten und informations-basierten Ansatz, der ihn und die Options Group positiv von anderen Beratungen unterscheidet.   Seine Freizeit verbringt er mit Wandern, Surfen und Fitnesstraining.

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