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Financial risk management practice manager

Bruxelles
CDI
Risk manager
Publiée le Publiée il y a 9 h
Description de l'offre

Financial Risk Management Practice Manager

Tasks
1. Develop new business and establish relationships with key banks and financial instituitions across yhe BENELUX region
2. Refine how banks measure their expected credit losses and report their loan-loss provisions (PD/LGD modelling)
3. Tackle emerging risks in particular with regards to the impact of climate change on banks' portfolios
4. Assess the impact of fluctuations in interest rates on banks' balance sheet (IRRBB & CSRBB)
5. Perform stress tests to assess capital and liquidity adequacy as part of ICAAP/ILAA
6. Anticipate the impact of uing regulatory changes (CRR3/CRD6) and draw roadmaps to tackle the identified gaps
7. Assist with the preparation of client offers and development of the practice' service offering
8. Manage a team of consultants on a day-to-day basis
Benefits
9. Extensive training opportunities ( FRM and CFA certifications)
10. petitvepensation package
11. Structured career progression - at Reply we encourage career growth and will give you the tools and guidance to achieve subject matter expertise and management capabilities
12. Diverse and vibrant environment - you will be surrounded by peers who share your passion for technology and innovation
13. Your education doesn't need to stop here! Reply pride themselves on continuously learning about emerging technologies
14. Opportunity to work on projects with some of the world's leading brands
Qualifications
15. At least 4 years Financial Risk Management experience, whether in the industry or in a management consulting firm
16. Previous experience developing new business or establishing new relationships with banks or other financial institutions
17. Masters degree in Economics, Finance, Actuary, Business Management or relevant business field
18. Knowledge of bank accounting (IFRS 9) and prudential regulations (CRR / CRD, BRRD, SREP, etc)
19. Quantitative skills and proficiency with VBA, R, Python and/or SAS
20. Interest in business development and constant attention to identify potential challenges for our clients and devise practical solutions
21. Fluent in English and either Dutch or French
About Avantage Reply
Avantage Reply, part of the Reply Group, specialises in Financial Services consulting with a focus onernance, Risk and Finance Transformation, Treasury and Capital, Quantitative Modelling,pliance and Regulatory Advisory. With offices across Europe, we count some of the world's most significant financial groups among our clients, including in Investment, Retail andmercial Banking, Custodian Banking, Insurance and Investment Management.
Job ID 10596

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