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Business Risk Manager, Contract, Switzerland
Eingestellt von Stamford Consultants AG
Gesuchte Skills: Consultants
Projektbeschreibung
BUSINESS RISK MANAGER, CONTRACT, SWITZERLAND
Stamford Consultants AG is a European recruitment specialist company with headquarters in Switzerland. Our international team recruits across Banking/Financial Services, Life Sciences & Information Technology professionals.
Our high level of service and responsiveness has earned us the distinction of being a preferred supplier of Contract, Permanent and Executive Search professionals for many of the world's most recognized and respected companies.
For one of our clients in the banking sector we are currently looking for a Business Risk Manager.
KEY RESPONSIBILITIES:
- Gathering information for decision making process in the Risk Area
- Preparing reports in the Risk area for internal and external stakeholders
- Documentation of processes
- Validating Risk models
IDEAL PROFILE:
- Degree in Banking or Economics and post graduate qualification ( CFA, PhD, ACCA)
- 6-7 years of experience in Risk Management (Business Risk or Capital Models)
- Good understanding of Regulatory Standards
- Strong analytical, communication and problem solving skills
- Experience with Stress testing, financial modelling and regression analysis
- Fluency English is a must
- Working Knowledge of Excel and R language
If you match the abovementioned requirements, please send us your CV and motivational statement.
Stamford Consultants AG is a European recruitment specialist company with headquarters in Switzerland. Our international team recruits across Banking/Financial Services, Life Sciences & Information Technology professionals.
Our high level of service and responsiveness has earned us the distinction of being a preferred supplier of Contract, Permanent and Executive Search professionals for many of the world's most recognized and respected companies.
For one of our clients in the banking sector we are currently looking for a Business Risk Manager.
KEY RESPONSIBILITIES:
- Gathering information for decision making process in the Risk Area
- Preparing reports in the Risk area for internal and external stakeholders
- Documentation of processes
- Validating Risk models
IDEAL PROFILE:
- Degree in Banking or Economics and post graduate qualification ( CFA, PhD, ACCA)
- 6-7 years of experience in Risk Management (Business Risk or Capital Models)
- Good understanding of Regulatory Standards
- Strong analytical, communication and problem solving skills
- Experience with Stress testing, financial modelling and regression analysis
- Fluency English is a must
- Working Knowledge of Excel and R language
If you match the abovementioned requirements, please send us your CV and motivational statement.
Projektdetails
Geforderte Qualifikationen
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Kategorie:
Organisation/Management