Financial Risk Manager overseeing financial risks of PostFinance through analysis and reporting. Collaborating with a team to ensure risk management and compliance in a regulatory environment.
Responsibilities
You monitor and measure PostFinance's financial risks and contribute to the continuous development of the function with targeted recommendations.
You use your overview of PostFinance's business model and your detailed understanding of the models in use to identify risks and ensure appropriate risk control.
You support the team with your technical interest and expertise in data analysis, the measurement of relevant financial risk metrics, and the execution of scenario analyses and stress tests.
You report on the risk situation regularly and independently to management and the Board of Directors.
You monitor regulatory changes and market developments and derive necessary actions for PostFinance at an early stage.
Requirements
Tertiary degree in economics, computer science, or a related discipline.
Several years of experience monitoring financial risks.
Experience applying or validating models in the area of interest rate and liquidity risks is an advantage.
Experience designing and conducting scenario analyses and stress tests — e.g., related to Too-Big-to-Fail frameworks or risk-bearing capacity — is an advantage.
Experience with risk measurement tools and with data processing/analysis tools (e.g., R, SQL) is an advantage.
You stand by your opinions, work cooperatively, communicate well, and can drive topics forward independently.
With your confident demeanor, you can easily present your ideas and argue persuasively.
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