Senior Consultant
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Compliance with various regulatory requirements;
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Capital management: definition of sources of capital and optimizing capital allocation;
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Credit risk management and measurement;
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Implementation of new regulations (IFRS 9, Basel III, etc.);
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Reducing the risk (hedging);
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Analysis, monitoring and management structure of liabilities and assets;
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Operational risk management;
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Regulatory and management reporting;
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Act as a subject matter expert in selected areas.
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More than 3 years professional experience in a bank, financial institution, consulting company or PFSA in regulatory risk area (CRR / CRD IV requirements and reporting, IAS 39 / IFRS 9 requirements, Banking law, PFSA recommendations and resolutions, other regulatory requirements for financial institutions);
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Master degree in Finance, Economics, Banking or Law;
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Familiarity with the banking industry and general risk management conventions;
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Working knowledge of written and spoken English;
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Experience and good understanding of Microsoft Office package;
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Ability to work under time pressure;
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Creativity, independence, availability;
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Willing to learn and increase practical and theoretical knowledge;
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Working with or knowledge on a range of tools for example R, SQL, VBA, etc.;
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Knowledge on financial mathematics (including econometrics, statistics, stochastic processes).
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Exposure to interesting advisory projects;
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Rapid knowledge development thanks to on-the-job trainings related to the area of expertise;
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Opportunity to be a part of global work streams and cross-country projects;
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Attractive customized learning portfolio (professional designations and international certificates);
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Continuous professional grow and clear career path.