Job Detail

CRO (Chief Risk Officer) Regulatory Coordination Team

Inseriert am: 27.09.2019
Senior CRO Regulatory Coordinator Pillar 2 #139413Switzerland-Switzerland - Region Zurich-Zürich |   Full-time (FT) | Corporate Functions | 

Job ID

 139413Risk ManagementMultiple

We Offer

 

 


The CRO Regulatory Risk management team provides a regulatory consultancy service to the bank on all issues that impact compliance of the bank’s risk models and risk management framework. The team’s activities include providing expert rules interpretation advice to all levels of management in CRO, managing regulatory visits and information requests involving risk management issues, analysing new regulatory rules, and managing the annual rules self-assessment process.  The team’s coverage is global and covers market, credit and non-financial Risk.  The team currently consists of about 25 people located into London, Zurich, New York & Singapore.


 


 


 


We offer


 



  • The CRO Regulatory Risk Management team has an opportunity for an experienced regulatory and risk management professional to coordinate CRO related regulatory interactions and reviews covering the various components of the risk management framework including Pillar 2, Stress testing and Risk Data aggregation and Reporting. The role will report to the Swiss Regional Regulatory lead within the CRO Regulatory Risk Management team. Your main responsibilities, are:

  • You take the overall lead of the Pillar 2 and on the Risk Data aggregation and Reporting dialogues with FINMA, supported by the team, including setting agendas, briefing key stakeholders before the meetings on key themes and questions, putting together presentations for meetings, answering post-visit regulatory letters and tracking remediation items.



  • You prepare and manage the annual supervisory reviews and deep dives covering CRO matters including setting agendas, identifying the SMEs to be involved, organizing kick off and regular catch-up with the SMEs, putting together presentations and documentations for the onsite reviews.

  • You coordinate all ad-hoc information requests from FINMA related to Pillar 2, stress testing and Risk Data aggregation and Reporting including review of final responses for accuracy and messaging prior to regulatory submission, supported by the team.

  • You prepare and participate in regular briefings on regulatory Pillar 2, stress testing and Risk Data aggregation and Reporting interactions and commitments with CRO management and provide input into monthly risk reports, Group and divisions, and weeklies to Group CRO on these topics. You are in charge of the submission of the regulatory update to the monthly divisional risk reports.

  • You analyse new regulations related to Pillar 2, stress testing and Risk Data aggregation and Reporting, including assessment of impact on CRO’s risk processes. 

  • You participate and review the annual self-assessments against Pillar 2, stress testing and Risk Data aggregation and Reporting rules.



  • You work with risk specialists in other departments to ensure that CRO’s processes and responses meet the regulatory expectations related to Pillar 2, stress testing and Risk Data aggregation and Reporting. 



  • The successful candidate will be expected to interface with CRO and CFO divisional senior management and partner with Risk modellers and managers to ensure successful regulatory interactions.


You Offer

 

  • Do you possess at least 10 years of financial sector experience, preferably in a CRO or CFO function in an investment bank, a consultancy firm or as a regulator? Previous work experience on stress testing submissions is preferable.

  • A post graduate qualification in Finance such as e.g., ACA, MSc, CFA, GARP, PRM, or PRMIA FRM (or equivalent) is helpful

  • Excellent knowledge of risk management concepts such as risk identification, measurement techniques, capital adequacy rules, internal capital adequacy assessments and stress testing.

  • Deep understanding of Basel and Pillar 2 regulations in areas of risk management, stress testing and capital adequacy.

  • Desire to get into detail of the rules, including taking both a legalistic approach and also understanding the “spirit” behind the regulation.

  • Excellent interpersonal skills as well as written and verbal communication skills, including an ability to provide clear and comprehensive responses, and “make complexity simple”.

  • A high attention to detail and ability to challenge quality / consistency of documents.

  • Strong project management skills combined with a partnering mindset, proven organization, coordination and action tracking skills.

  • You are a dedicated problem solver with a positive, empathetic personality and can-do attitude who loves to prioritize multiple challenging priorities and assignments


Ms. B. Ott would be happy to receive your application.


Please apply via our career portal

 

We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.

 

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