Responsibilities
:
· Keeping abreast of regulatory developments and best practices related to risk management, assessing and communicating their impact;
· Performing gap analyses between new regulatory developments (incl. NBR/EBA/BIS/ECB/ publications) vs internal processes;
· Proposing optimization of internal normative framework and contributing to its development and implementation;
· Actively collaborating with various entities within the Risk department on regulatory topics/ internal normative;
· Contributing to internal and external (including regulatory recurrent & ad-hoc topics) reporting towards various stakeholders.
Profil
Experience:
· Graduate or post-graduate qualifications in economics or finance related disciplines (or equivalent);
· Experience in financial services industry - banking, capital markets, investment management firms, consulting;
· Knowledge of banking regulations and guidelines, particularly in credit risk area;
· Strong interpersonal and communication (written and verbal) skills;
· Good analytical, attention to detail and problem solving abilities;
· Full professional proficiency in English;
· IT skills (Microsoft applications - Excel, PowerPoint, Word; data tools).
Descriere
Risk Analyst- Risk Methodologies Unit Reference: 210006A3 Entity: BRD Starting date: 2021/06/30 Publication date: 2021/03/02 Aplica Share { "@context": "https://schema.org", "@type": "BreadcrumbList", "itemListElement": [ { "@type": "ListItem", "position": 1, "name": "Home", "item": "https://careers.societegenerale.com/en" } , { "@type": "ListItem", "position": 2, "name": "Job offers", "item": "https://careers.societegenerale.comhttps://careers.societegenerale.com/en/search" } , { "@type": "ListItem", "position": 3, "name": "Risk Analyst-Risk Methodologies Unit", "item": "https://careers.societegenerale.comhttps://careers.societegenerale.com/en/job-offers/risk-analyst-risk-methodologies-unit-210006A3-en&src=" } ]}
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