Risk Manager - Banking jobs in Malta - September 2024
By using this site, you consent to the use of cookies to improve your user experience through analytics and personalised marketing efforts.

Risk Manager

Konnekt

Published on 01 Aug 2024

Expires in 15 days (02 Oct 2024)


Our client, a reputable international bank based in Malta, is seeking a proactive and dedicated Risk Manager to join their team, reporting to the Head of Risk. 

You will support our Risk department by managing and enhancing their comprehensive risk framework. Your responsibilities will include ensuring the company's legal and regulatory integrity while proactively addressing potential risks.

Responsibilities:

  • Assist in drafting policies, procedures, and other internal documents related to credit, operational, and market risk, and ensure their implementation.
  • Monitor and analyze credit, operational, and market risk exposures on an ongoing basis.
  • Prepare risk reports and other documents for the risk committee.
  • Conduct risk assessments to identify potential risks and vulnerabilities within the Bank's operations, service providers, products, and processes.
  • Assist in the development and review of the Bank's ICAAP and ILAAP documents.
  • Assist in the development and review of the Bank's recovery plan documents.
  • Collaborate with the Head of Risk to develop and deliver risk management training programs, enhancing employees' knowledge and skills in identifying and managing risks.
  • Work with cross-functional teams to evaluate risks, assess their potential impact, prioritize them based on severity and likelihood, and assist in implementing new controls and monitoring measures.
Requirements
  • At least 4-5 years of experience in a similar position.
  • Banking experience is considered an asset.
  • Experience with ICAAP, ILAAP, recovery plan, CRD and IRRBB is considered an asset.
  • Strong knowledge of risk management principles, methodologies, and regulatory requirements.
  • High-level work ethic and professional integrity.
  • Ability to work with minimal supervision, with a keen eye for detail and strong analytical skills.
  • Effective prioritization, organizational, and time management abilities to meet deadlines.
  • Capability to work independently and as part of a team with excellent communication skills.
  • Exceptional analytical skills to identify, assess, and mitigate risks effectively.
Education and Experience
  • Bachelor's degree in finance, risk management, or a related field. Relevant professional certifications are considered an asset.
Benefits
  • Hybrid Working
  • Flexible working hours
  • Subsidized parking
  • Performance Bonus

salary
€50,000 to €55,000 / year
Salary
time
Full Time
Job Type
experience
Experienced (3 years +)
Experience Level
category
Banking
Category
industry
Banking
Industry



Administrator Executive


Senior Analyst (Investment Firms) Resolution Planning


Officer - Corporate Actions

Send me Similar Jobs