Offer summary
Qualifications:
Higher education in finance, economics or related fields, Minimum of 5 years experience in financial risk management, Experience in preparing and presenting analyses and reports for management, Familiarity with supervisory regulations and capital requirements, Analytical thinking and problem-solving skills.
Key responsabilities:
- Analyze and monitor interest rate risk in the banking book
- Prepare IRRBB risk reports and presentations for management and stakeholders
- Collaborate with other departments to assess interest rate risks
- Implement and improve tools and methods for IRRBB risk management
- Participate in interest rate risk management projects