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Imagine that our financial markets business has full insight into the drivers of our market- and counterparty credit risk and that our risk framework enables them to grasp opportunities when they arise. All of course while safeguarding our status as a Rock-Solid bank. Do you want to make that happen?
As a Risk Manager Financial Markets, you can make a difference by understanding how developments in the financial markets and initiatives taken by the business affect our risk exposures and risk framework. You know the regulatory requirements, the applicable policies and business processes, the operational aspects that come with it, the data and systems used to analyse risks, the drivers in the methodologies used, the key risks on which we report, and the impact on our capital.
Your Responsibilities:The current job opening centers around the reporting-related tasks of the team. We collaborate closely with a dedicated reporting department within Finance. Currently, we are exploring better ways to cover the reporting tasks. A plausible scenario is that you will be working for the reporting department within Finance in the near future.
Examples of the Challenges Ahead:We believe in the power of difference. Bringing together people's differences is what makes us an even better bank. We are very curious about what you can bring to our team at the Policy & Reporting team within Risk Management Financial Markets Advisory.
“As a part of the Policy and Reporting team, my main focus is on Markets risk monitoring and reporting. Enabled by data and technology, my daily tasks involve monitoring the Bank’s portfolio, liaising on key business topics with other teams worldwide, and reporting to senior management. Assisted by colleagues with a very diverse background, I have been working on the analysis and implementation of market risk measures, as well as on the development and execution of internal controls in order to assess the market- and enterprise risks of the firm’s business. Being a part of the team, I have been given the necessary amount of fun, while at the same time growing professionally and learning alongside industry’s experts.”
— Georgios, Policy and Reporting team member
The 11 people in the Policy & Reporting team ensure that the risk framework for market- and counterparty credit risk is effective and efficient. Working together is the way we work; as one result-driven and problem-solving team at Rabobank.
Customer focus, collaboration, working independently, and being a team player are clearly essential for the role of Risk Manager Financial Markets. In addition, it is important that you recognise yourself in the checklist below:
This is a selection of the terms of employment for a Risk Manager Financial Markets based on a 36-hour working week.
Reply to the vacancy for Risk Manager Financial Markets at Rabobank before September 25th, 2024.
Any questions about the job content? Contact: Jeroen Ackerman via Jeroen.Ackerman@Rabobank.com or +31 30 7123029.
Any questions about working at Rabobank and the process? Contact: Joris Opdam, Corporate Recruiter via Joris.Opdam@Rabobank.nl.
A security check is part of the process. We respect your privacy.
Rabobank is a cooperative bank with a mission. Together with our stakeholders, we have been dedicated to creating a future-proof society and tackling major societal challenges for 125 years. In the Netherlands, we serve retail and corporate clients; globally we focus on the food and agriculture sector. Our starting point is: together we can achieve more than we could individually.
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