Our client, a globally acting bank in Frankfurt, is looking for an enthusiastic, self-motivated individual to join as a Risk Manager (OpRisk/Risk Reporting).
The role will include:
•Develop, review and deliver Operational Risk Framework
•Assessment, analysis and presentation of inherent and residual risk
•Manage and Coordinate the risk reporting process
•Deliver input for monthly Risk Committee
•Contact person for internal and external stakeholders
•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, acting as the MaRisk Compliance Officer
The position requires:
•Several years of experience in Operational Risk and/or Risk Governance, ideally in an investment banking environment
•Experience in Global markets
•Knowledge of Fixed Income or Equities products of advantage
•Fluent English language skills. German of advantage
If you are interested in that position, please send me your resume and transcripts via email and let’s schedule a meeting.
Options Group (Germany) GmbH