Related skills
validation credit risk model governance📋 Description
- Lead global Financial Risk framework across credit, liquidity, capital, market, and model risk.
- Define global underwriting standards, credit limits, governance; challenge first-line policies.
- Oversee liquidity, funding, and capital resilience; design stress testing scenarios.
- Set global FX and market risk guardrails; partner with Finance and Treasury on hedging.
- Build model governance and independent validation across risk, pricing, and forecasting.
- Lead a high-performing Financial Risk team; advise senior management and regulators.
🎯 Requirements
- 12–15+ years in financial risk management with 5–7+ years in senior leadership.
- Deep expertise across credit, liquidity, capital adequacy, stress testing, FX/market risk.
- Strong second-line experience designing frameworks, setting limits, and escalating material matters.
- Experience developing ICAAP/ILAAP and enterprise stress testing.
- Experience building or scaling model governance, validation, and inventory governance.
- Bachelor’s degree in finance, economics, mathematics, statistics, engineering, or quantitative field.
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