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  • Frankfurt

  • Company Overview:

    Our client is a leading financial services company specializing in online brokerage services, offering cutting-edge technology and innovative solutions to empower individuals to manage their investments effectively. They are committed to providing their clients with a seamless and secure trading experience while adhering to the highest standards of risk management.

    Position Overview:

    We are seeking a dynamic and experienced individual to join our client's team as a Manager of Risk Controlling. The ideal candidate will be responsible for overseeing and managing all aspects of risk control within their organization, ensuring compliance with regulatory requirements and implementing best practices to mitigate financial and operational risks.

    Aufgaben

    • Conduct comprehensive risk assessments across all areas of the organization.
    • Analyze market trends, regulatory changes, and internal processes to identify potential risks.
    • Develop risk models and methodologies to quantify and assess various types of risks.
    • Develop risk management policies and procedures in accordance with regulatory guidelines and industry best practices.
    • Implement risk control measures to monitor and mitigate identified risks effectively.
    • Ensure adherence to risk management policies and procedures throughout the organization.
    • Establish monitoring systems to track key risk indicators and escalate potential issues as necessary.
    • Prepare regular risk reports for senior management and regulatory authorities.
    • Provide insightful analysis and recommendations to enhance risk management strategies.
    • Collaborate with cross-functional teams to integrate risk management practices into business processes.
    • Provide training and guidance to employees on risk awareness and mitigation strategies.
    • Foster a culture of risk awareness and compliance across the organization.
    • Stay abreast of regulatory requirements and industry developments related to risk management.
    • Ensure compliance with relevant laws, regulations, and standards governing risk management activities.
    • Liaise with regulatory agencies and auditors as needed to address inquiries and audits.

    Qualifikation

    • Bachelor's degree in Finance, Economics, Risk Management, or a related field. Master's degree or professional certifications (e.g., FRM, PRM, CFA) are beneficial.
    • Proven experience in risk management, preferably within the financial services industry or from an auditing company.
    • Strong understanding of financial markets, products, and risk management techniques.
    • Excellent analytical skills with the ability to identify and assess complex risks.
    • Proficiency in risk modeling, quantitative analysis, and data visualization tools.
    • Knowledge of regulatory requirements and industry standards related to risk management.
    • Strong communication and interpersonal skills, with the ability to collaborate effectively across teams.
    • Detail-oriented with a proactive approach to problem-solving and decision-making.

    Benefits

    • remote working model
    • career perspective
    • independent and responsible role in a modern working environment

    Our client is an equal opportunity employer committed to diversity and inclusion. We encourage applications from candidates of all backgrounds.

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    Jobs at Hirschman Associates

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