Credit Risk Analyst recruitment
Your main responsibilities
• Monitoring and managing the credit risks, including settlement-, pre-settlement- and issuer risks as well as reporting the exposures under respective limits
• Monitoring and managing the (market- and credit-) risks in the ING Insurance asset portfolios and communicating the exposures to the ING Insurance entities
• Interaction with Treasury, Portfolio Management, Trading, Legal and other departments within INGIM serving the risk management interests,
• Setting and implementing the INGIM credit risk framework within the ING IM entities and supporting the local countries
• Providing in-depth, high quality counterparty research.
Your experience and skills
• University degree in Financial Economics, Econometrics or related discipline
• At least 5 years of experience in credit (or market) risk management, equity or fixed income research or related fields of business within the financial industry
• Good understanding of financial markets, financial instruments, infrastructure, regulation and stakeholders
• Experience with financial analysis, master agreements such as ISDA/CSA, GMSLA, GMRA, and regulations (e.g. UCITS, Solvency II is a plus)
• Solid mathematical and analytical skills
• Fluency in English, proficiency in Dutch is preferred.
Your competencies
• Professional expertise/market focus
• Strong communication skills
• Result driven
• Pro-active attitude
• Attention to detail
• Team player
Your department and challenge
The Risk Management (RM) department focuses on protecting the ING Investment Management organisation and fulfilling its fiduciary obligation towards its clients including the ING Insurance companies. The main responsibility of RM is the monitoring, management and control of risks of ING IM activities in mutual funds, institutional mandates and insurance assets. The RM department is divided into 4 teams:
- Operational Risk Management
- Investment Restriction Control
- Fund Risk Risk Technology
- Proprietary Asset Services (PAS) Risk Credit and Counterparty Risk
The Credit Risk Analyst position is within the Credit and Counterparty Risk team which has a global focus and currently consists of five professionals. You will report to the head of this team.
We offer you
- The opportunity to influence the future of a top global active asset manager
- An entrepreneurial and performance driven culture that gives you the freedom to use your talent, express your ideas and execute them
- A multicultural, professional and dynamic environment stimulating you to get the best out of you and accelerate your career development;
- Modern working conditions that give room to individual choices.
Note that applications via e-mail and third party applications are not taken into consideration.