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Senior Model Risk Auditor

  • Location:

    Amsterdam

  • Sector:

    Accountancy & Finance

  • Job type:

    Permanent

  • Salary:

    €85000 - €110000 per jaar

  • Contact:

    Arie Beckman

  • Contact email:

    Arie.Beckman@oliverjames.com

  • Job ref:

    JOB-102024-260702_1728894279

  • Published:

    4 giorni fa

  • Expiry date:

    2024-11-13

Location: Amsterdam
Salary: €85,000 - €110,000 per year
Work hours: Full-time (36-40 hours per week)
Contact: Arie Beckman (Arie.beckman@oliverjames.com) / +3208088609

About the Role
We are seeking a Senior Internal Auditor with a strong Market Risk background to join our Internal Audit team. You will take a leading role in assessing and auditing key areas such as Financial Markets, Counter-party Risk, Credit Risk, and Trading Risk. The ideal candidate will have a minimum of 5 years of experience, preferably within the banking sector, and possess expertise in derivatives valuation, market and credit risk modelling, and experience in applying AI to assess financial models.

Key Responsibilities

  • Lead audits related to Market Risk, including Counter-party and Credit Risk, Valuation Adjustments, Trading Risk, and Treasury Audits.
  • Evaluate complex financial instruments, such as derivatives, to assess market risk exposure and identify gaps in internal controls.
  • Supervise and coach junior auditors, ensuring audit quality and team development.
  • Perform audits across multiple regions, working with international audit teams to ensure global risk standards are met.
  • Collaborate with stakeholders to communicate findings and offer solutions for mitigating risks.
  • Apply AI and data analysis techniques to enhance audit processes and improve risk detection.

Key Focus Areas

  • Financial Markets
  • Counter-party Risk
  • Credit Risk
  • Valuation Adjustments
  • Derivatives Assessment
  • Market & Credit Risk Modelling
  • AI in Risk Modelling

Your Profile

  • Minimum of 5 years of experience in market risk management or audit within the banking or financial services industry.
  • Strong expertise in financial markets, trading risk, and derivatives valuation.
  • Experience in Market Risk Modelling and/or Credit Risk Modelling is a plus.
  • Proven ability to work with senior stakeholders in complex organizational settings.
  • Strong analytical, communication, and leadership skills.
  • Ability to apply emerging technologies (e.g., AI) in auditing processes.
  • Bachelor's or Master's degree in Finance, Risk Management, or a related field.
  • Big 4 experience in audit or risk management is welcome, particularly for candidates with a focus on investigative and analytical work.

What We Offer

  • Competitive salary (€85k - €110k) based on experience.
  • Flexible working hours and opportunities to work remotely.
  • A comprehensive benefits package, including:
    • Pension scheme
    • 13th-month salary
    • 8% holiday allowance
    • Travel reimbursement
    • 24-27 vacation days
    • Individual Savings Contribution (BIS) of 3.5% of gross salary
  • A stimulating and international work environment.
  • Continuous professional development and growth opportunities.

Apply Now
If you have a passion for market risk and want to work in a dynamic and challenging environment, we encourage you to apply. Please submit your CV to Arie Beckman at Arie.beckman@oliverjames.com or call +3208088609 for more information.

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