Search for a Risk Management Professional
We are seeking an experienced professional to join our team as a risk management specialist. The successful candidate will be responsible for managing and analyzing financial risks, with a focus on regulatory compliance.
- Develop and analyze capital regulatory reports (Pillar I, Pillar II, and Pillar III).
- Participate in the implementation and monitoring of provision models under the IFRS9 norm.
- Collaborate in the preparation of resolution plans and MREL / TLAC requirements.
- Coordinate with different departments (risk, accounting, systems) to ensure regulatory compliance.
- Monitor and implement new regulations and updates from European authorities (EBA, ECB) and local authorities (Banco de España).
- Support in preparing reporting to supervisors and internal / external audits.
- Review, optimize, and automate processes.
Requirements
Bachelor's or Master's degree in Economics, ADE, Engineering, or similar field.Postgraduate education or professional certifications (FRM, CFA, etc.) are highly valued.Experience
At least two years of experience in similar roles in financial institutions and / or auditing / consulting firms.Technical Knowledge
Practical knowledge of CRR / CRD and IFRS9 norms.Advanced Excel skills.Experience with databases (SQL) and programming languages is desirable.Language Skills
Intermediate / advanced level of English, capable of reading regulatory documentation.What We Offer
A challenging opportunity for professional growth through the incorporation into a dynamic team, involvement in ambitious projects, and focus on results, all within an excellent work environment and favorable setting for acquiring global experience in risk management.A development plan and ongoing training.#J-18808-Ljbffr