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Risk Management Expert
1 settimana fa
At DLL - Financial Solutions Partner - Part of Rabobank, we are seeking a highly skilled Capital Risk Specialist to join our team. This dynamic position entails communication with various stakeholders across DLL CRO and CFO functions and Rabobank Group. Our ideal candidate is passionate about the risk management domain, eager to put their knowledge into practice, enthusiastic to further develop their strengths, and proactively contribute to the fulfillment of the strategic risk initiatives and enhancement of the capital risk management and stress testing frameworks.
Key Responsibilities:
- Facilitate the execution of risk management activities related to capital adequacy and optimization including providing analysis, challenge, forming risk opinions, and monitoring.
- As a subject matter expert, based on analysis, drive the development and enhancement of stress testing frameworks including those focused on capital, climate, and Asset and Liability Management.
- Critically evaluate key elements and assumptions, analyze outputs of stress testing and scenario definition to ensure robustness and relevance to DLL's business model.
- Further enhance the internal use of stress testing in business steering and periodically identify business needs.
- Provide expert guidance in improvements of the Economic Capital framework.
- Support the execution of annual processes including Internal Capital Adequacy Assessment Process (ICAAP), Risk Identification and Assessment, and Risk Appetite Statement review.
- Collaborate on projects within the capital management domain to drive strategic objectives.
- Support the department's regular integrated risk reporting activities to the Asset and Liability Management Committee and Global Risk Committee for business, liquidity, foreign exchange, and interest rate risk.
- Manage policies related to capital and stress test frameworks, ensuring alignment with regulatory standards and conducting regular compliance gap analysis, as well as contribute to the design of the control framework.
- Foster effective communication and collaboration with internal stakeholders such as Finance and Analytics teams, to align on key initiatives and shared deliverables.
Requirements:
- 5 years of experience in the field of risk management within a financial institution or risk management consulting, preferably with involvement in one or multiple processes: stress testing, capital adequacy, economic capital framework.
- University degree in Finance, Economics or Risk Management.
- A strong understanding of regulatory frameworks (e.g., CRR3, Basel, SREP, ICAAP, stress testing).
- Strong communication and interpersonal skills for conveying risk assessments and analysis to stakeholders.
- Proficient knowledge of Microsoft Office Applications and Power BI.
- A strong understanding of the full scope of risk management practices and techniques including experience in the development and implementation of risk policies.
- Excellent written and verbal communication skills in English.
- Be located in Milan, Italy.
- To continue your growth in the integrated risk area, affinity, knowledge, and/or experience in the Asset and Liability risk domain is considered a plus.
DLL's wellbeing ambition is to educate, equip, and empower members to build connections, manage their mental, emotional, physical and financial wellness, and maintain balance between work and the other priorities that make up their lives.
We offer a range of benefits to support your overall wellbeing, including two working days per year volunteering for a local charity, health and wellness program, flexible hours with the possibility to work from home, and more.