Senior Risk Analyst
Unlock your potential as a Senior Risk Analyst and play a pivotal role in shaping risk management strategies that align with business objectives! You will maintain a robust risk framework, assess exposures, and promote a strong risk culture throughout the organization. With your experience in financial services and a keen analytical mind, you’ll engage with senior stakeholders, elevate governance standards, and ensure compliance with regulatory requirements. Join a dynamic team offering a full-time permanent contract and make an impactful difference in an innovative environment. Ready to take the next step in your career? Apply now!
Description
- Contribute to the development and implementation of the risk management strategy and annual risk plan aligned with business objectives.
- Maintain and embed an effective risk management framework covering risk identification, assessment, monitoring, mitigation, and reporting.
- Ensure the risk appetite framework is clearly defined and integrated into business decision-making.
- Monitor the organisation’s risk profile and report regularly to senior management, recommending mitigation actions where needed.
- Promote a strong risk culture across the organisation.
- Work closely with business functions to monitor risk exposures and support risk mitigation, including for new projects and initiatives.
- Support key risk management activities such as internal controls, operational incidents, and stress, scenario, and reverse stress testing.
- Develop and maintain clear and accurate risk reporting using risk management systems and data visualisation tools.
- Support regulatory processes and reporting, including solvency and risk assessments.
- Contribute to effective risk governance, including committee participation and presentations to senior management and the Board.
- Monitor regulatory developments and ensure ongoing compliance with regulatory and conduct standards.
Your profile
- Solid experience in risk management within financial services and insurance.
- Strong exposure to ORSA, stress testing, and Solvency II risk frameworks.
- Good understanding of regulatory capital principles, including Internal Models and the Standard Formula.
- Strong analytical mind-set with attention to detail and the ability to translate complex information into clear insights.
- Able to assess risks, form sound judgement, and draw clear conclusions.
- Proactive and reliable, with a strong work ethic and willingness to take initiative.
- Capable of leading tasks and managing discrete risk management projects.
- Effective stakeholder management skills, with experience engaging senior stakeholders across the business.
- Clear, structured, and factual report-writing skills.
- Fluent in English; additional European languages are an asset.
Offer
- Monthly salary indication: € 8001 - € 8500
Hi, I'm Julie Mahaux,
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