CANDIDATUL IDEAL:
Required background:
• University Degree – Economic area
• Previous relevant work experience in banking field
• Good knowledge of financial analysis and corporate banking products(for Risk Manager and Budget/Reporting Manager)
Required competencies:
• Good knowledge and understanding of the Romanian business environment and domestic market conditions
• Good spoken and written English
• Excellent communication skills, analytical thinking
• Dynamism, hard-working, customer orientation, stress resistance
• Computer proficiency
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RESPONSABILITATI / BENEFICII:
Main responsibilities:
• Establish consolidated limits to all risk exposures using correlated models of potential losses (Financial Controller vision)
• Assist the internal norms specific for all banking activities adjusted to the established limits
• Monitoring the matching of the loan funding requirements with the current resources, by using different liquidity indicators (by currencies, Gap analysis, cost of funds, etc)
• Reporting consolidated exposures to risk, degree of conformity with current regulations, internal procedures
• Establish the operations and/or activities that could generate a loss from inadequate or failed processes, people and system or external events (internal and external fraud, damage to physical assets, employment practices, etc)
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