Structural Risk Manager developing and overseeing risk management frameworks and reporting at Ayvens. Collaborating with internal teams on ALM/Treasury matters and regulatory compliance.
Responsibilities
Implement the risk management framework as defined by parent company Société Générale’s risk department
Annual update/review of structural risk policies and procedures
Provide training on structural risk related topics to internal stakeholders
Identify risk drivers and emerging risks both at group and local levels
Review risk indicator framework on local level, Ayvens level and SG level when relevant to Ayvens.
LoD2 challenges in processes in which structural risk topics are covered (ICAAP, ILAAP, Stress Testing, Recovery Plan...)
Represent LoD2 in relevant committees.
Requirements
At least a relevant University degree preferably in a financial area (e.g. in Economics, Finance, Econometrics)
Familiar with ALM/Treasury topics such as Interest Rate Risk and Liquidity Risk.
Proficient in Microsoft Excel and ideally in Power BI
5 to 10 years of work experience in financial services, preferably in ALM/Treasury, or alternatively in financial reporting/regulatory reporting with exposure to ALM/Treasury topics.
Experience in an international business environment and working with different countries, cultures, and teams is a plus
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