(Москва, Райффайзенбанк) Financial Institutions & Country Risk Specialist
RaiffeisenBank is looking for a motivated and ambitious Senior Risk Management Specialist for the Financial Institutions (FI) industry. Financial Institutions & Country Risk Management (FICRM) is responsible for managing and limiting the credit risk of FI and Sovereign Counterparty RBRU. The new Risk Manager will join a well-established team and have many opportunities to influence and further develop processes and structures within the department.
Raiffeisenbank is one of Russia's leading universal banks and is considered one of the most reliable local banks by rating agencies as evidenced by its strong compositions of ratings.

Raiffeisenbank's service quality is regularly recognized by international magazines: e.g. «Best Foreign Bank in Russia» for the fifth consecutive year and «Best Foreign Investment Bank in Russia», both by EMEA Finance 2016, or «Best Employer in Russia» in 2017 by HeadHunter.

Major duties
  • Manage credit risk limits for FI and Sovereign Сounterparts within the regions of responsibility;
  • Prepare concise and transparent risk statements and defend them in the risk approval process;
  • Analyze FIs including banks, insurances, brokerage and leasing;
  • Monitor developments in the financial sector and identify significant future developments in the industry;
  • Analyze market conditions and associated risks and report them to the Credit Committee for final decision;
  • Participate in risk identification initiatives regarding new products, clients or procedures;
  • Conduct projects autonomously and provide the management with project status updates, feedback, and reports on key responsibilities and objectives.
Required qualifications
  • University degree in economics, finance, mathematics or in a comparable field, with strong quantitative focus;
  • 1 year experience in risk management or similar function/area;
  • Solid understanding of risk evaluation principles for different FIs and ability to calculate their risk limits;
  • Knowledge of common products within the international finance business (esp. trade finance, capital market and treasury products);
  • Strong analytical and technical skills; strong knowledge and practical experience with VBA, Python, R, SAS or similar software is a plus;
  • Persistence, stress resilience and passion for detail;
  • Team player with good communication, negotiation and presentation skills in a multinational environment;
  • Excellent command of English.
Please, provide your CV in English to anna.m.frolova@raiffeisen.ru
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