Risk Regulatory Expert
Nomura Bank (Luxembourg) S.A.
33 rue de Gasperich - Building A, L-5826 Hesperange, Luxembourg
il y a 5j

Job Description

The Risk Management Department is responsible care of Financial Risk and Operational Risk matters.

Financial Risk Management ensures that both risks inherent to the Bank’s activity and risks related to the environment in which the Bank operates are identified, assessed, treated, monitored and reported.

Financial Risk Management covers primarily credit risk, liquidity risk and market risk.

Operational Risk Management acts as a second line of defence in identifying and assessing operational risks for the proper treatment and mitigation of those risks.

It is responsible for developing and maintaining the framework and methodology to identify, assess, monitor and report operational risks.

In order to support the Risk Management Department, we are looking for a Risk Regulatory Expert on a permanent contract.

Your main tasks will be to :

  • Support the CRO in assessing, maintaining and improving the Risk Management standards for the Bank in line with regulatory requirements and Luxembourg industry leading practices.
  • Lead or participate to projects to implement new policies or initiatives for the Operational and Financial Risk management.
  • Bring industry knowledge and expertise regarding relevant regulatory requirements and best practices.
  • Produce risk assessments for new products, the due diligence processes and similar requirements.
  • Support in complying with risk-related regulatory obligations.
  • Support the Credit Administration function, monitor the credit legal documentation and perform risk analysis of the structure of existing funds / new funds, assessing their risk profile.
  • Perform risk analysis and controls of bank’s operational processes in order to identify deficiencies and / or weaknesses, and issue appropriate recommendations to support the business in their decision-making process.
  • Perform risk controls, including stress tests and produce reports for business stakeholders, senior management and risk committees.
  • Contribute to the ICAAP & ILAAP annual report and other risk reports as appropriate.
  • Review and update the Bank’s risk models and stress testing tools.
  • Review and update risk control measures, policies and procedures.
  • Ensure that conduct of work complies with internal and external standards and regulations.
  • Provide ad-hoc risk analysis and investigations, reporting to the CRO.
  • Please be aware that in accordance with the law of July 23, 2016, the selected candidate will be requested to provide a criminal record (section 3)

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