Regulatory Portfolio Management Expert

224

Not specified; benefits: 25-28 vacation days; pens...
Hybrid
6+ years financial risk management experience
Credit risk modelling expertise
Crr articles 189 and 190 knowledge
224 is seeking a Regulatory Portfolio Management Expert to oversee regulatory model approval processes and coordinate credit risk model development across its global operations. The ideal candidate will have over six years of experience in financial risk management and a strong technical background in credit risk modeling and regulatory compliance

Job Summary

  • The role involves overseeing ING's regulatory model approval process and acting as the gatekeeper for Group methodological standards.
  • Candidates must have broad expertise in credit risk modelling, statistics, and capital requirements regulations to manage the end-to-end regulatory credit risk model lifecycle.
  • The position offers a hybrid working environment with benefits including 25-28 vacation days, a pension scheme, and an 8% holiday payment.

Matching Summary

Match Score: 85

224 is seeking a Regulatory Portfolio Management Expert to oversee regulatory model approval processes and coordinate credit risk model development across its global operations. The ideal candidate will have over six years of experience in financial risk management and a strong technical background in credit risk modeling and regulatory compliance.

Salary

Not specified; Benefits: 25-28 vacation days; Pension scheme included; 13th month salary; 8% Holiday payment

Skills & Requirements

Must-have

  • 6+ years financial risk management experience
  • Credit risk modelling expertise
  • CRR articles 189 and 190 knowledge
  • IRB and IFRS9 model standards
  • ECB regulatory communication experience

Nice-to-have

  • Strong stakeholder management skills
  • Experience with internal model investigations
  • Ability to challenge senior risk management
  • Clear verbal and written communication skills

Key Requirements

  • Master's degree in relevant field
  • 6+ years in financial risk management or supervision
  • Expertise in statistical data analysis and policy development

Work Rights

Not specified

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