Jobtyp: Full-time

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Jobinhalt

Your career at Deutsche Börse Group

Your area of work:

The unit Risk Governance, Framework & Methodology is responsible for the continuous development, improvement and maintenance of the Non-Financial Risk & Multiple-Risk Framework as well as of the Risk Governance of Deutsche Börse Group (DBG) and all covered entities to ensure ongoing regulatory compliance with applicable laws and regulations in order to support a robust risk and control environment.

Your responsibilities:

  • Perform/support the continuous development, improvement and maintenance of the Non-Financial Risk & Multiple-Risk Framework of Deutsche Börse Group (DBG) including risk assessment, risk models, stress-testing methodologies, further instruments as well as roles and responsibilities for Operational, Business, Reputational and Pension Risk Management – focusing primarily on Environmental, Social and Governance (ESG). This covers also new ESG-related components
  • Perform regular reviews and updates of policies, procedures and handbooks in line with ESG regulation, guidelines, etc. and industry best practises
  • Coordination and alignment with ESG Risk Mgmt. initiatives of banking regulated entities within DBG to ensure consistent and efficient groupwide ESG framework
  • Prepare conceptual and methodological improvements of the Internal Capital Adequacy Assessment Process (ICAAP) for regulated entities including maintenance, development and documentation of Non-Financial Risk models
  • Provide guidance to the Non-Financial Risk Management teams of DBG to ensure effective implementation of the framework
  • Support the performance of risk reviews (esp. specific issues in the ESG context)
  • Contribution to audits and annual reports
  • Provide timely analytical commentary and insights regarding the Risk Framework environment and esp. new regulations to applicable governance forums and senior management

Your profile:

  • Relevant university degree
  • Minimum 2 years professional working experience in developing and implementing Non-Financial Risk Frameworks with a focus on policy & procedure frameworks, risk assessment, risk models, stress-testing, etc.
  • Experience in ESG Risk Management related activities and/or Non-Financial Risk Management with a focus on financial services/banking/financial market infrastructure providers would be an advantage
  • Ability to explain complex concepts to non-experts, to see the big picture as well as the detail
  • Good knowledge of relevant regulation (ESG related regulations/guidelines (TCFD, EFRAG, CSRD, EU Taxonomy, etc.) as well as KWG, MaRisk, SREP, ICAAP, CSSF 12/552, CSDR, EMIR, etc.)
  • Strong analytical and conceptual skills, creativity, critical thinking, as well as ability to identify problems and propose solutions
  • Excellent communication, presentation and interpersonal skills
  • Proficiency in written and verbal English, German would be an advantage
  • Very good command of MS Office
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Frist: 21-11-2024

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