Description:
- Managing the Market Risk department in the Netherlands
- Analysing, monitoring and controlling the Global Financial Markets activities in the Netherlands where it concerns Market Risk. Main areas of attention will be Treasury management (liquidity, balance sheet & capital management), Position Management (fx, money market, capital markets in Euros) and Portfolio Management (all EUR assets)
- Build together with the Credit Risk department on an integrated risk management framework for Global Financial Market activities in the Netherlands
- Execute the implementation of policies within Market Risk and advise on improvements or amendments to existing policies, procedures, methodologies and measurements Initiate discussions on risk appetite related to Global Financial Markets activities in the Netherlands
Requirements:
You have 5-7 years banking/financing experience in financial markets and experience in market risk management.
You have strong analytical skills and / or a quantitative background. G
ood communication skills and management management experience is required.
You are able to think on a strategic and conceptual level.
Furthermore you poses strong negotiation, communication and persuasion skills.
Han Oei
Matthew Hoyle
+31 70 311 8645
AvG