Chargement en cours

AVP, Enterprise Risk Manager

PARIS, 75
il y a 2 jours

The selected candidate will participate to build a strong Risk governance framework covering FAB France. The candidate is responsible under FAB France Chief Risk Officer and Head oof ERM leadership to build and maintain a robust independent oversight and monitoring of Enterprise Risk Management (ERM) and especially ensure adherence with Pillar 2 requirements. The job holder will oversee generating and managing all Bank/Group Risk Management reporting and perform second level control of Bank Regulatory reporting (such as Liquidity and IRRBB but not limited to ) in line with French and European regulatory requirements. The job holder will participate in developing and implementing integrated risk management strategy; framework and control system to ensure the Bank operates within an agreed risk appetite and complies with its internal policy and external regulatory obligations. In doing this, the selected candidate will work closely with FAB France Risk Management team and Group Risk Management/Credit Risk units to ensure the Group methodologies, policies, procedures and limit frameworks are established in FAB France.

KEY RESPONSIBILITIES

Governance

  • Participation to all required committees as per FAB France Governance Framework and conduct sections related to ICAAP / ILAAP.
  • Oversee development and review of Risk Management related policies, procedures, and other documents (such as addendums, methodologic and model documentation) related to Pillar 2 requirements and ensure establishment of strong framework at FAB France.
  • In conjunction with, and as required by the Country Chief Risk Officer and Head of ERM, manage the comprehensive risk reporting framework for Country Risk Committee.
  • Provide regular reports to Risk Manager on bank’s risk profile with mitigation plans. Assist in the taking appropriate decisions to manage the risk profile within the set appetite.
  • Conduct scenario definition as well as stress testing and model calibration in line with ICAAP/ILAAP requirements.
  • Ensure that all calculations, monitoring and reportings related to Pillar 2 are in line with French / EU requirements.
  • Conduct Market Risk stressed calculation for Pillar 2.
  • Ensure oversight and integration of ESG and climate Risk as per regulatory requirements.
  • Participation to the implementation and monitoring of Recovery Plan of the bank.
  • Contribution to ICAAP / ILAAP implementation as part of subsidiarization project.
  • Ensure that the data is timely and correctly collected for all risk management related reports.
  • Oversee monitoring risk appetite indicators to implement a robust risk appetite framework in the bank.
  • Performing daily, weekly, and monthly risk management reports.
  • Performing quarterly 2nd LOD control for Risk Management reports.
  • Performing annual processes such as RACI, RCSA, contribute/perform to other Risk and bank’s processes/reports as required.

REQUIREMENTS / QUALIFICATIONS

  • Diploma (5 years) in the fields of Banking, Finance, Accounting, Engineering and/or Financial Mathematics.
  • Experience in banking or similar sector.
  • Good knowledge of CRR and CRD regulations.
  • Good knowledge of ICAAP / ILAAP, stress testing, modelling.
  • Mastering Office pack and financial tools.
  • Operational level of English and French both written and spoken.
  • Knowledge of French / European banking regulations.
  • Ability to multi-task as well as prioritize.
  • Team player, able to meet tight deadlines and manage challenging workload.
  • Problem solver, ability to think laterally and creatively, strong negotiating and influencing skills; ability to develop strong relationships and leverage these to build productive processes.
  • Excellent presentation skills.
  • Ability to communicate and influence at all levels of the organization.
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Entreprise
First Abu Dhabi Bank (FAB)
Plateforme de publication
WHATJOBS
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