Risk Analyst-Risk Methodologies Unit
Bucuresti, Romania Permanent contract Risks Aplica
Keeping abreast of regulatory developments and best practices related to risk management, assessing and communicating their impact;
Performing gap analyses between new regulatory developments (incl. NBR / EBA / BIS / ECB / publications) vs internal processes;
Proposing optimization of internal normative framework and contributing to its development and implementation;
Actively collaborating with various entities within the Risk department on regulatory topics / internal normative;
Contributing to internal and external (including regulatory recurrent & ad-hoc topics) reporting towards various stakeholders.
Graduate or post-graduate qualifications in economics or finance related disciplines (or equivalent);
Experience in financial services industry - banking, capital markets, investment management firms, consulting;
Knowledge of banking regulations and guidelines, particularly in credit risk area;
Strong interpersonal and communication (written and verbal) skills;
Good analytical, attention to detail and problem solving abilities;
Full professional proficiency in English;
IT skills (Microsoft applications - Excel, PowerPoint, Word; data tools).
Risk Analyst- Risk Methodologies Unit
We are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents , regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, sexual or gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination.
Reference : 20000ODA Entity : BRD Starting date : immediate Publication date : 2021 / 10 / 01 Aplica Share