About the role

  • Senior Consultant in Financial Risk Management supporting banks in addressing financial and credit risk challenges. Contributing to risk management engagements with a focus on regulatory compliance in a hybrid setup.

Responsibilities

  • Advise banks on financial risk management across the risk lifecycle, with a primary focus on credit risk, RWA, capital adequacy, and regulatory capital requirements under CRR and Basel III / Basel IV
  • Contribute to the assessment and enhancement of end-to-end risk frameworks, including risk methodologies, governance, risk appetite, capital planning, and regulatory reporting, in collaboration with client risk and finance functions
  • Interpret and translate regulatory requirements (Basel III / IV, CRR, ECB expectations) into practical risk calculation, implementation, and governance solutions, including challenges related to evolving regulatory standards
  • Develop, review, and validate risk, capital, and exposure calculations, ensuring consistency, accuracy, and traceability in line with BCBS 239 principles and regulatory expectations
  • Support risk data aggregation, reporting, and data governance initiatives, leveraging strong data affinity and SQL-based analysis to enhance data quality, lineage, and transparency
  • Contribute to broader financial risk topics depending on project context, such as stress testing, capital planning, credit risk modelling, or interactions with liquidity and balance-sheet risk topics
  • Deliver consulting services across multiple banks, including benchmarking, preparation of client deliverables, and presentations, supporting senior stakeholders in decision-making

Requirements

  • Master’s degree in Finance, Risk Management, Economics, or Engineering
  • 3–6 years of experience in financial risk management within the banking sector or a risk consulting environment
  • Strong hands-on experience with credit risk, RWA, and capital requirement calculations, within the CRR and Basel III / Basel IV framework
  • Solid understanding of end-to-end financial risk management frameworks, including governance, capital adequacy, risk reporting, and regulatory interactions
  • Good knowledge of BCBS 239, risk data aggregation principles, and regulatory reporting, with proven SQL and data analysis skills
  • Ability to translate complex regulatory topics into clear, structured insights for client audiences
  • Demonstrated consulting project experience, including working across institutions and applying benchmarking and best practices
  • Fluency in French and Dutch, with at least a passive knowledge of the other language; professional working proficiency in English
  • Strong analytical mindset, attention to detail, and collaborative working style

Benefits

  • Competitive salary package inclusive of a company car
  • iPhone
  • Various allowances
  • Extensive training in Belgium and Denmark covering technical and soft skills
  • Project management opportunities
  • Personal and professional growth

Job title

Finance Risk Consultant

Job type

Experience level

Mid levelSenior

Salary

Not specified

Degree requirement

No Education Requirement

Tech skills

Location requirements

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