As Manager Market Risk, you will have the opportunity to shape the future of risk management in a fast-paced, forward-thinking environment. We are seeking a Manager Risk Controlling to help us further develop and strengthen our Risk Controlling function with a focus on steering interest rate risk in the banking book. As part of the ICAAP Methodology & Analytics team, you will be supporting with development, implementation and data analysis for risk controlling, with a focus on Pillar II and interest rate risk in the banking book. You will contribute to assessing, controlling, and reporting N26's risks while ensuring effective collaboration across various teams and stakeholders. * Lead and coordinate interactions with internal and external auditors and regulators (e.g., EBA, national central banks) regarding the adequacy, compliance, and robustness of market ...
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