Manager, Quantitative Credit Risk Management (Financial Risk Management Group) Вакансия в архиве

Алматы, Казахстан ·
Зарплата не указана ·
Полная занятость
Требуемый опыт работы от 5 лет
Обновлено 4 мая 2019 2019-05-04 14:46:07

Описание

About FRM

Financial Risk Management Group is providing consulting and advisory services in the areas of financial risk modeling, development of risk management strategies, processes, governance structures and reportings as well as valuation of financial instruments for our clients, mainly, in financial sector.

The vacancy of FRM Manager is open in Almaty or Astana.

About FRM

Financial Risk Management Group is providing consulting and advisory services in the areas of financial risk modeling, development of risk management strategies, processes, governance structures and reportings as well as valuation of financial instruments for our clients, mainly, in financial sector.

About FRM

Financial Risk Management Group is providing consulting and advisory services in the areas of financial risk modeling, development of risk management strategies, processes, governance structures and reportings as well as valuation of financial instruments for our clients, mainly, in financial sector.

The vacancy of FRM Manager is open in Almaty or Astana.

  • Advanced position in the Financial Risk Management team, part of KPMG's Advisory practice
  • Responsible for delivering smaller projects (2-3 staff) or modules within larger projects for our clients (including budget responsibility), overseen by partner or director
  • Leading, advising and training junior staff on and off projects
  • Managing relationship and interaction with counterparties at the client site
  • Contributing to the business development activities, such as development of service propositions, support of proposal activities, contribution to thought leadership pieces etc.
  • Active involvement in recruitment, training, knowledge development activities etc.
  • Direct reporting to unit's senior managers / directors and Head of FRM for Russia/CIS

Обязанности

  • Advanced position in the Financial Risk Management team, part of KPMG's Advisory practice;
  • Responsible for delivering smaller projects (2-3 staff) or modules within larger projects for our clients (including budget responsibility), overseen by partner or director;
  • Leading, advising and training junior staff on and off projects;
  • Managing relationship and interaction with counterparties at the client site;
  • Contributing to the business development activities, such as development of service ;propositions, support of proposal activities, contribution to thought leadership pieces etc.;
  • Active involvement in recruitment, training, knowledge development activities etc.;
  • Direct reporting to unit's senior managers / directors and Head of FRM for Russia/CIS.

Требования

Professional Background:

  • 4+ years of relevant professional experience in financial risk management obtained in consulting firms (mandatory) with focus on financial services and in banks and/or other companies in the field of banking or financial services;
  • Knowledge in credit risk measurement and management approaches; good practical experience in at least one of the fields of credit risk management (e.g. retail, corporate or financial institutions);
  • Good understanding of bank organization and structure, bank governance processes, front – to –back processes (in particular, credit processes) and the role of risk management within a bank;
  • Knowledge of Basel II/III regulations as well as financial reporting (especially IFRS 9) is highly beneficial, as is experience with leading Western and Russian banks;
  • Good understanding of relevant Kazakhstan banking regulations;
  • Optional: Experience in project management and in coordinating and communicating with senior management and business heads.

Soft Skills

  • Strong communication and social skills, project management skills;
  • Proficient analytical skills and an ability to structure a problem;
  • High motivation, creativity and team player attitudes;
  • Good business judgment and pragmatism;
  • Ability to work independently;
  • Experience in leading (small) teams.

Educational background:

  • Bachelor and/or Master degree in a quantitative field (Mathematics, Physics, Quantitative Finance, or similar degree) or in Economics/Business Administration from a leading university;
  • Optional: PhD or MBA in one of those fields or studying in a Western university is a plus;
  • Optional: Additional certificates like CFA, FRM, PRM, PMP is a plus.

Language skills:

  • Fluent in English (written and verbal);
  • Fluent in Russian (written and verbal).

Additional skills/requirements (desirable):

  • Good skills in MS Office (esp. Powerpoint, Excel and Word);
  • Good skills in statistical software (e.g. SAS, R) or alternatively a common programming language; knowledge of SQL is a plus;
  • Readiness for traveling (if necessary, dependent on project needs).

Необходимые навыки

Risk management Risk management, 

Рейтинг компании

4.2
/5
(13 отзывов)
Привлекательность
4.2
Индекс лояльности
4.3
Интерес к бренду
4.5
Активность онлайн
3.9

Похожие вакансии

Лучшие статьи о работе и карьере
Мы сообщим, когда появится
что-то особенно интересное
Спасибо, не надо.