Senior Manager in Financial Risk at Zanders advising clients in the banking sector on credit risk and ESG projects through quantitative risk analysis and team collaboration.
Responsibilities
As a Senior Manager in the Financial Risk team at Zanders, you will be engaged in a diverse range of quantitative risk projects, focussing on credit risk and ESG, collaborating within multidisciplinary teams to tackle complex challenges and craft actionable models that our clients can readily implement
Your counsel will be invaluable to clients primarily in the banking sector, among others
In addition, you will be expected to work on business development and to support sales initiatives in the financial risk area
In this role you can build on your existing network in the German market and gradually expand it
As a Senior Manager you will be a career coach, responsible for the career development of your coaches
You will be expected to guide consultants not only on project work, but support them throughout their career journey
You'll enjoy a significantly higher level of responsibility than what is typically found in other consulting firms
Your contributions will be instrumental in driving our business forward right from day one.
Requirements
A Master's degree in econometrics, mathematics, physics, quantitative finance, statistics, or related topics
Strong interest in developing, designing and performing the quantification of credit risk
8-10 years of experience in model development and/or validation, as well as broader risk governance in the credit risk area (relevant topics include, but are not limited to, IRB and credit portfolio modelling, IFRS 9, stress testing or ESG)
A sizeable network in the German banking industry
Regulatory understanding and preferably experience with TRIM missions, IMIs, OSIs etc
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