Risk Management Group works closely with our business partners to manage the bank’s risk exposure by balancing its objective to maximise returns against an acceptable risk profile. We partner with origination teams to provide financing, investments and hedging opportunities to our customers. To manage risk effectively and run a successful business, we invest significantly in our people and infrastructure.
The team is responsible for regulatory & portfolio stress testing and general provisioning under IFRS9, including model development, execution, reporting and stakeholder management. This strategically critical role will assume ownership of the IFRS9 and stress testing models and methodology, with a focus on non-retail portfolios.
Functional / Technical Competencies
Education and Relevant Experience
We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.