Chief Risk Manager, Copenhagen, Warsaw

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København

Chief Risk Manager, Copenhagen, Warsaw
We are now looking for a Chief Risk Manager (Regulatory Risk Management and Governance) to be a sparring partner on current and upcoming legislation in the area of market and counterparty credit risk and relevant risk models, secure professional relations with our regulators and drive regulatory implementation and governance projects.

At Nordea, we’re committed to being a partner our customers and society can count on. Compliance and integrity go hand in hand. Joining us means you’ll have an impact on how we do banking – today and tomorrow. So bring your ideas, skills and unique background. With us, you’ll be in good company with plenty of opportunities to collaborate, grow and make your mark on something bigger.

About this opportunity


Welcome to the Regulatory Risk Management and Governance team. We add value by minimising regulatory risk in the Group, being subject matter experts on rules and regulation within the area of market and counterparty credit risk, securing and increasing the strength of the overall market and counterparty credit risk governance also with regard to relevant internal risk models in Nordea. As a Chief Risk Manager, you will be a senior member of Group Market and Counterparty Credit Risk (GMCCR), contributing to stronger governance that holds up to external scrutiny, professional relationships with our regulators and regulatory compliance across the Group.

What you’ll be doing:

  • Independently determine sources and applicable texts for the correct, most up-to-date applicable regulation to practical questions from business and risk areas and provide solid analysis of current and upcoming legislation and regulatory guidance in relation to market and counterparty credit risk and relevant risk models.
  • Be a sparring partner on regulatory requirements and their implementation across GRC and for our stakeholders in the relevant business areas.
  • Contribute to securing and increasing the strength of the overall market and counterparty credit risk governance in Nordea by writing policy documents that provide clear guidance to individuals and the organisation and that stand up to scrutiny by our regulators.
  • Contribute to securing and increasing the strength of the overall market and counterparty credit risk governance, including the management of committees and fora for decision-making, in Nordea by keeping an overview of policies and procedures and identifying and addressing needs for improvement.
  • Ensure excellent relations with the very diverse group of internal stakeholders we work with in GRC and the business areas, but also with our regulators across the Nordic countries and the ECB.
  • Drive processes related to the analysis of regulation, the delivery of major packages of information to regulators and coordinate deliveries on information requests, deep dives and on-site inspections by our supervisors.
  • Contribute to strong relationships with our internal and external stakeholders with professional and diplomatic written and verbal communication, stakeholder management and project management skills.

The role is based in Copenhagen or Warsaw.

Who you are


Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best – and that we imagine you share with us.

To succeed in this role, we believe that you:

  • Have a strong background in regulatory analysis and an excellent understanding of the sources and hierarchy of financial markets and prudential legislative texts and regulatory guidance and feel comfortable with giving regulatory guidance to internal stakeholders that has consequences for how we deploy resources for the implementation of regulatory projects and that stands up to regulatory scrutiny.
  • Are highly self-driven and quality-focused in everything you do and leave no stone unturned to find the correct applicable regulatory text to a question on applicable regulation.
  • Are an excellent communicator and thrive on getting engaged in a wide range of topics.

Your experience and background:

  • 10+ years of experience in financial markets, risk management, ideally also from a supervisory authority or the European Institutions.
  • Experience in determining applicable regulation, reading, analysing and advising on European regulation and regulatory guidance, ideally relevant to the area of market and counterparty credit risk.
  • Willingness and mental agility to adapt to a diverse range of subject areas and quickly grasp the key elements and stakeholder concerns of projects across all business areas (in particular Markets and Treasury) as well as risk models and infrastructure that the RRMG team contributes to with advice on regulatory requirements as well as support with regard to regulatory interactions and strong governance.
  • Excellent project management skills.
  • Excellent collaborative skill and excellent written and verbal communication skills in particular in English, Nordea´s official language, but also the language of communication with our regulators.
  • High ethical standards with demonstrated integrity, tact and diplomacy.
  • Strong cultural awareness, dynamic approach and willingness to take on extra responsibilities when needed.
  • Candidate is likely to have an excellent academic background, including an advanced degree (Master or above) in a discipline relevant to financial markets and risk management.

If this sounds like you, get in touch!

Next steps


Submit your application no later than 21 December 2020. For more information, you’re welcome to contact Sabine Schönangerer, [email protected].

At Nordea, we know that an inclusive workplace is a sustainable workplace. We deeply believe that our diverse backgrounds, experiences, characteristics and traits make us better at serving customers and communities. So please come as you are.


Information og data

Denne ledige stilling har jobtypen "Finansmedarbejder", og befinder sig i kategorien "Økonomi og jura".

Arbejdsstedet er beliggende i København

Jobbet er oprettet på vores service den 30.11.2020, men kan have været deaktiveret og genaktiveret igen.

Dagligt opdateret: Dette job opdateres dagligt ud fra jobudbyderens hjemmeside via vores søgemaskineteknologi og er aktivt lige nu.
  • Finansmedarbejder
  • København
  • Mandag den 21. december 2020

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