- Reviewing the Group's balance sheet to ensure that all non-traded market risk exposures are being captured, assessed and managed optimally
- Supporting the team in delivering to Nordea's senior management accurate, unbiased and relevant risk analysis
- Supporting Group Financial Risk Management leadership team on improving and implementing risk management frameworks across Nordea
- Driving improvement in the control environment
- Identifying and investigating new and emerging non-traded market risks
- Have previous experience in working with non-traded market risks, or market risks more broadly
- Are excited about bringing your ideas to the table
- Are highly analytical and accurate
- Work well with others
- 3+ years of experience in risk management, preferably within non-traded market risk areas
- A good understanding of the risks of a large international bank's balance sheet
- Excellent spoken and written communication skills in English
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Senior Risk Expert, Non-Traded Market Risk - Warsaw, Polska - Nordea Bank
Opis
Job ID: 23586
Would you like to support Nordea in improving risk awareness and help fulfil our key priorities? We are now looking for a Senior Market Risk Expert to join the Non-Traded Market Risk (NTMR) team where we provide analysis and oversight on Nordea's most material market risks, including interest rate risk in the banking book (IRRBB) and the fair-valued holdings in Group Treasury.
At Nordea, we are committed to being a partner that our customers and society can count on. Compliance and integrity go hand in hand. Joining us means you'll have an impact on how we do banking – today and tomorrow. So bring your ideas, skills and unique background. With us, you'll be in good company with plenty of opportunities to collaborate, grow and make your mark on something bigger.
About this opportunity
In NTMR we ensure that market risks are prudently managed and that present unbiased analysis of these risks to senior management. As the Senior Market Risk Expert, you'll carry a valuable role in continuing to develop the risk management frameworks for IRRBB, CSRBB and the fair-valued holdings in Liquidity portfolios, the long-term illiquid assets portfolio and Nordea's exposures to staff defined benefit pension schemes.
What you'll be doing:
You'll join a team that has robust market risk experience from several international banks and diverse backgrounds, helping build a best-in-class risk management function. The role is based in Helsinki; Warszawa.
Who you are
Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.
To succeed in this role, we believe that you:
Your experience and background:
If this sounds like you, get in touch