Manager Financial Risk Services & Risk Management

Job Description

The role will be based In Netherlands and fluency in Dutch is required

 

The Role:

  • As a manager you keep yourself busy with the substantive and thematic aspects of procurement in the field of financial risk management. 
  • It mainly include the quantitative aspects of risk management including the valuation of complex financial instruments and developing or validating models
  • Sound knowledge of IFRS, DNB and AFM (including Basel II and Solvency 2)
  • You are not involved in projects directly, but you fulfill the role of project manager
  • You are responsible for maintaining customer contacts and actively contribute to expanding the network and the acquisition of new orders
  • Additional responsibilities include budget monitoring

 

The Profile:

  • You have completed a study in a quantitative subject, such as econometrics, (business) mathematics or similar direction
  • At least six years of relevant work experience
  • You are university educated
  • You have affinity with the financial sector and the specific regulations such as Basel II and Solvency 2
  • You have a proactive attitude and you have eye for new developments
  • You are flexible and able to combine loyalty to your client and to think commercially 
  • Excellent communication skills in Dutch and English

 

Interested?  

 You can send your resume to Umair Ahmad at UAhmad@antal.com  and I will get back to you if your profile matched with the client requirements

 
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