ING
Financial Risk-Capital Specialist
ING is looking for a Financial Risk Management Specialist in the Financial Risk Capital & Analyses team within ING’ Financial Risk Management.
The Financial Risk (FR) department is a head office function that sets and control financial risk strategy across the organization. The department provides strategic guidance on financial risk (market risk and liquidity risk for the balance sheet), safeguards regulatory compliance, and is the model owner for market risks in both banking and trading books.
Market Risk Capital & Analyses team is the model owner responsible for the Market Risk Economic Capital models and Market Risk Regulatory Capital models of ING.
This position is part of our team in Amsterdam. Does it sound interesting? Please read on!
What you'll do
Be the centre of expertise and point of contact for the Market Risk Capital Frameworks for the Banking Books.
Support and improve the Capital Risk Appetite and limit setting, allocation, monitoring, and forecasting.
Take the lead for Market Risk Capital Usage and Balance Sheet Steering topics
Proactively provide guidance and advise to Senior Management and all stakeholders on Market Risk capital and Balance Sheet Risk Oversight topics
As the model owner of Market Risk Capital models for the Banking Books, responsible to initiate, assess model redevelopments and enhancements
Global oversight of Financial Risks within the Bank
Be in the lead for different global financial risk related projects
Coordinate, challenge & perform in-depth financial risk analyses and assessments
Follow, interpret and execute developments/ requirements by regulators in the fields of Market Risk Capital for the banking book.
How to succeed
We hire smart people like you for your potential. Our biggest expectation is that you’ll stay curious. Keep learning. Take on responsibility. In return, we’ll back you to develop into an even more awesome version of yourself.
Fluent in English
Academic level, preferably in a quantitative specialization
Minimum 5 years of similar experience in a bank or financial institution
Knowledge of risk management and financial products
Strong plus if you have demonstrable knowledge in CSRBB effect and equity plus IRRBB and Market Risk of the Banking Book
Working with presentations, the ability to present complex content in an easy and transparent way
Personal qualities & behavioural traits
Strong analytical and quantitative skills (the breakdown of complex issues in manageable pieces)
Good communication skills
Able to identify problems independently and to solve them with the help of experienced staff, also involving the appropriate parties
Result-driven and able to push things forward in a persistent and constructive manner
Able to manage different stakeholders and navigate different cultural environments
Decisive and resilient
Changeable and flexible, able to act swiftly in changing situations
Well structured, autonomous, highly adaptive, flexible team player
Thrive while working in a fast-paced, dynamic environment
Rewards and benefits
We want to make sure that it’s possible for you to strike the right balance between your career and your private life. Find out more about our employment conditions.
The benefits of working with us at ING include:
25-28 vacation days depending on contract
Pension scheme
13th month salary
8% Holiday payment
Hybrid working
Personal growth and challenging work with endless possibilities
An informal working environment with innovative colleagues
About us
Curious about how ING empowers people and businesses to move forward?
Discover what we do and what we can offer you.
Questions?
Contact the recruiter attached to the advertisement. Want to apply directly? Please upload your CV and motivation letter by clicking the ‘Apply’ button.