Enterprise Risk Management Expert – гр. София

Responsibilities:

  • Participate in Developing and maintaining enterprise governance frameworks, standards and practices relating to risk governance and effectively implement them throughout the Bank. Specifically the Bank Group (including the Branch in Romania) Enterprise Risk, Enterprise Risk Appetite, regulatory, capital, operational, liquidity and market risk as well as Managerial Governance and Enterprise Methodology and Policy Management Frameworks respectively.
  • Project management, for processes and new initiatives related to enterprise risk management.
  • Develop and implement processes to assess and/or monitor the effectiveness of risk governance frameworks / adherence to standards as appropriate;
  • Act as an internal subject matter expert and together with the CRO/Deputy CRO develop organization capability around risk governance and decision processes aligned with TBI Bank’s operating model and risk strategy;
  • Support the maintenance of Risk related Mandates and Charters and ensure their ongoing relevance;
  • Provide administrative and risk governance support for the Risk Committee of the Board and the related subcommittees;
  • Work collaboratively with other bank oversight functions to identify and implement consistent and effective approaches to risk governance and control-based activities;
  • Maintain strong and effective working relationships with all areas of Risk Management;
  • Conduct research on industry leading practices for risk governance matters pertaining to the banking industry including board practices relating to risk governance;
  • Proactively research and apply the EU regulatory framework and guidelines and assure regulatory compliance
  • Participate in preparing all monthly and quarterly risk management reports, including ICAAP, ILAAP, Recovery plan, stress testing and etc.;
  • Ensure that risk events are escalated and documented for the appropriate management committees as required by policy, regulatory guidelines and/or best practice.

Requirements:

  • Risk management experience, including knowledge of risk management governance and controls
  • Superior communication, facilitation and consensus-building skills (3+ years relevant industry or risk management experience)
  • Demonstrated relationship-building skills, with a superior ability to make things happen through the use of positive influence
  • High degree of personal initiative
  • Organizational awareness with an understanding of how to engage the organization to get things done
  • Strong problem-solving skills; comfortable tackling complex problems and breaking these down into manageable pieces
  • Superior multi-tasking skills and the ability to work in a fast-paced, often deadline-oriented and dynamic environment
  • Conceptual and practical thinking and implementation skills
  • Process design and analysis skills
  • Research, analysis and judgment skills
  • Fluency in English language
  • Strong PowerPoint skills, intermediate Excel skills, Knowledge in Basel II / III

We offer:

  • A chance to join a highly competitive and dynamic professional environment
  • Work with professionals in risk management
  • Competitive remuneration package

Валутни курсове

  • EUR

    • Купува
      1.95100
    • Продава
      1.95900
    • Фиксинг
      1.95583
  • USD

    • Купува
      1.77900
    • Продава
      1.87900
    • Фиксинг
      1.83062
  • GBP

    • Купува
      2.20400
    • Продава
      2.32400
    • Фиксинг
      2.25352
  • CHF

    • Купува
      1.75500
    • Продава
      1.87500
    • Фиксинг
      1.81213
към 26 Октомври 2015

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