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EY Manager Financial Services Risk Management 
Estonia, Tallinn 
259809659

02.12.2024

You will have the chance to lead projects at market leading banks in such regions as Baltics, Nordics, Central Europe and even Central Asia. The work will require a combination of hard and soft skills, meaning it will provide an exciting mix of direct communication with top management of Banks, active participation in problem-solving, hands-on development of new solutions, and significant use of data & technical skills.

Your key responsibilities

  • Develop, implement, document and validate analytical tools and model types to manage financial and non-financial risk in decision making and regulatory reporting process.
  • Apply statistical, economic, financial or mathematical techniques and assumptions to business, financial, and risk management problems.
  • Directly communicate with Banks & Fis, manage stakeholders, support them in analyzing and suggesting ways to manage financial (credit risk, market risk, etc) and non-financial risks (AML, Sanctions, Fraud, ESG, etc).
  • Assess, design and transform risk operations, processes and frameworks to drive desired outcomes, including leveraging of enterprise risk assessment techniques.
  • Continuously improve processes and the identification of innovative solutions through research and analysis and experience of best practices.
  • Effectively manage and deliver one or more projects and/or solutions, directly communicate with Clients, ensuring a focus on quality and effective time management.
  • Manage professional employees or supervise others to deliver complex technical initiatives with accountability for performance and results.
  • Meet performance objectives and other metrics set locally.

What we expect from you is

  • Prior experience in the field of Banking and Risk Management or Finance with additional experience within AML, Compliance, Fraud or Big4 considered an advantage.
  • Hands on experience with any of the following: Risk Assessments, Credit Modeling, Model Risk Management, Quantitative Financial Modelling, Risk Modelling, ICAAP, ILAAP, Stress Testing, Data Analysis and Interpretation, IFRS, RWA, IRRBB, CRR3.
  • Education in either Finance and Business, Physics, Mathematics and Statistics, IT.
  • Excellent Excel, and proficient SQL or Python or R skills, with Power BI skills considered as an advantage.
  • Excellent English skills, any other languages will be considered an advantage.

What we offer

Our promise to our people is an exceptional EY experience:

  • Continuous learning & fast growth. Wide range of on- and off-the-job learning opportunities, and certification tailored to your individual career path. This includes EY Tech MBA, EY Masters in Sustainability and Business Analytics, etc.
  • International experience. Working in an international environment with projects, events & initiatives, as well as a bright and energetic team.
  • Comprehensive compensation and benefits . Regular salary review, additional bonuses, additional paid days off for your studies & development, volunteering activities, and tenure-based leave. Additional health insurance that covers various medical services, and travel insurance.
  • Flexibility & wellbeing. We’ll provide the tools, support, and flexibility, so you can make a meaningful impact, in your own way – a hybrid work model, flexible working hours, and part-time options.