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                          234 Treffer für Group Risk Manager Jobs in Rhein Main Gebiet im Umkreis von 30 km

                          Noch nichts dabei? Es gibt 234 weitere Jobs, die zu deiner Suche passen könnten

                          Manager Tax Reporting, Risk Management & Technology ContiTech (m/w/divers) - REF92635Y

                          Continental AG
                          Eschborn bei Frankfurt am Main
                          Teilweise Home-Office
                          Anschreiben nicht erforderlich
                          We are looking for a Tax Manager – Tax Reporting, Risk Management & Technology to join our global tax team. In this role, you will ensure accurate and timely tax reporting across budget, forecast, and actuals, while developing and implementing a robust tax risk management framework for the ContiTech Group. * Act as a proactive point of contact for German and international group companies to identify and mitigate tax risks early. The Continental group sector offers its customers connected, environment-friendly, safe and convenient industry and service solutions using a range of materials for off-highway applications, on rails and roads, in the air, under and above the ground, in industrial environments, for the food sector and the furniture industry. You will act as a key contact for German and international entities, proactively identifying tax risks and supporting operational tax functions.
                          We are looking for a Tax Manager – Tax Reporting, Risk Management & Technology to join our global tax team. In this role, you will ensure accurate and timely tax reporting across budget, forecast, and actuals, while developing and implementing a robust tax risk management framework for the ContiTech Group. * Act as a proactive point of contact for German and international group companies to identify and mitigate tax risks early. The Continental group sector offers its customers connected, environment-friendly, safe and convenient industry and service solutions using a range of materials for off-highway applications, on rails and roads, in the air, under and above the ground, in industrial environments, for the food sector and the furniture industry. You will act as a key contact for German and international entities, proactively identifying tax risks and supporting operational tax functions.
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                          Senior Audit Manager - UBS Europe SE Model Risk Audit (f/m/d)

                          UBS AG
                          Frankfurt am Main
                          We do this by assessing key processes as well as governance, risk management, and the control environment within all business divisions and Group Functions (GF) functions globally. • document and communicate audit issues, root causes and risks, and prepare reports of audit findings for UBS Group and UBS Europe SE senior management - We report directly to the Management Board of UBS Europe SE and are functionally aligned to Group Internal Audit (GIA), reporting directly to the of the Board and the Audit Committee - Our team is responsible for auditing controls related to model risk in UBS Europe SE, stress testing models and other model types across the entire firm depending on our expertise. UBS is the world's largest and the only truly global wealth manager. Are you a sharp evaluator of risk? Do you have specific experience of model risk management, development, model ...
                          We do this by assessing key processes as well as governance, risk management, and the control environment within all business divisions and Group Functions (GF) functions globally. • document and communicate audit issues, root causes and risks, and prepare reports of audit findings for UBS Group and UBS Europe SE senior management - We report directly to the Management Board of UBS Europe SE and are functionally aligned to Group Internal Audit (GIA), reporting directly to the of the Board and the Audit Committee - Our team is responsible for auditing controls related to model risk in UBS Europe SE, stress testing models and other model types across the entire firm depending on our expertise. UBS is the world's largest and the only truly global wealth manager. Are you a sharp evaluator of risk? Do you have specific experience of model risk management, development, model ...
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                          (Senior) Property Underwriter (Energy Specialized) (m/w/d) - Middle Market

                          Chubb European Group SE
                          Düsseldorf, München, Frankfurt, Hamburg
                          Teilweise Home-Office
                          Chubb European Group SE * Einholen von Informationen, Prüfen von Ausschreibungsunterlagen sowie technische Bewertungen in Zusammenarbeit mit der Abteilung Chubb Risk Engineering Services (CRES).
                          Chubb European Group SE * Einholen von Informationen, Prüfen von Ausschreibungsunterlagen sowie technische Bewertungen in Zusammenarbeit mit der Abteilung Chubb Risk Engineering Services (CRES).
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                          As a Project Manager for the 'OneGroup' program you will significantly contribute to our transformation towards a unified operating model under our Deutsche Börse Group overall strategy with the purpose of strengthening cross-group collaboration, gaining governance clarity and striving for execution excellence. * Deutsche Börse Group At Deutsche Börse Group, we'll empower you to grow your career in a supportive and inclusive environment. Deutsche Börse Group is one of the world's leading exchange organisations and an innovative market infrastructure provider. * Monitoring & Reporting: Track project progress, budget, risks and issues, prepare consolidated reports for and senior management * Risk Management: Identify, assess and help mitigate project risks and dependencies - Why Deutsche Börse Group? We care for your health and wellbeing and besides various health promotion measures we offer you a ...
                          As a Project Manager for the 'OneGroup' program you will significantly contribute to our transformation towards a unified operating model under our Deutsche Börse Group overall strategy with the purpose of strengthening cross-group collaboration, gaining governance clarity and striving for execution excellence. * Deutsche Börse Group At Deutsche Börse Group, we'll empower you to grow your career in a supportive and inclusive environment. Deutsche Börse Group is one of the world's leading exchange organisations and an innovative market infrastructure provider. * Monitoring & Reporting: Track project progress, budget, risks and issues, prepare consolidated reports for and senior management * Risk Management: Identify, assess and help mitigate project risks and dependencies - Why Deutsche Börse Group? We care for your health and wellbeing and besides various health promotion measures we offer you a ...
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                          Koordinator*in IT Compliance & IT Governance (m/w/d)

                          InterRisk Versicherungs-AG Vienna Insurance Group
                          Wiesbaden
                          Teilweise Home-Office
                          InterRisk Versicherungs-AG Vienna Insurance Group Die InterRisk ist eine in Deutschland und Österreich aktive Versicherungsgruppe. Wir sind Teil der Vienna Insurance Group (VIG), des führenden Versicherungsspezialisten in Österreich sowie Zentral- und Osteuropa. Die InterRisk Versicherungs-AG braucht Verstärkung, denn die Welt verändert sich rasend schnell - und mit ihr die Bedürfnisse und Wünsche unserer Kund:innen. Gestalte mit uns die Zukunft der InterRisk und komm in unser Team! * Berufserfahrung: Relevante Berufserfahrung im IT-Umfeld, idealerweise mit Fokus auf GRC (Governance, Risk & Compliance)
                          InterRisk Versicherungs-AG Vienna Insurance Group Die InterRisk ist eine in Deutschland und Österreich aktive Versicherungsgruppe. Wir sind Teil der Vienna Insurance Group (VIG), des führenden Versicherungsspezialisten in Österreich sowie Zentral- und Osteuropa. Die InterRisk Versicherungs-AG braucht Verstärkung, denn die Welt verändert sich rasend schnell - und mit ihr die Bedürfnisse und Wünsche unserer Kund:innen. Gestalte mit uns die Zukunft der InterRisk und komm in unser Team! * Berufserfahrung: Relevante Berufserfahrung im IT-Umfeld, idealerweise mit Fokus auf GRC (Governance, Risk & Compliance)
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                          Asset Manager - Real Estate m/w/d

                          AXA Investment Managers Deutschland GmbH
                          Frankfurt am Main
                          As of July 1, 2025, AXA Investment Managers has officially joined the BNP Paribas group through BNP Paribas Cardif. * AXA Investment Managers Deutschland GmbH - As a leading international asset manager, AXA Investment Managers (AXA IM) offers a wide range of global investment solutions for both alternative and traditional asset classes. In general this includes the strategic and operational management of all measures affecting risk and return at the properties' level in regards to the entire lifecycle of the properties. This includes activities such as definition of property strategy, supporting and attendance of acquisitions and sales activities, business planning and budgeting, tracking of commitments and expenses related to asset management, cash flow monitoring, reporting, research, data management, risk management and compliance, tendering and monitoring of ...
                          As of July 1, 2025, AXA Investment Managers has officially joined the BNP Paribas group through BNP Paribas Cardif. * AXA Investment Managers Deutschland GmbH - As a leading international asset manager, AXA Investment Managers (AXA IM) offers a wide range of global investment solutions for both alternative and traditional asset classes. In general this includes the strategic and operational management of all measures affecting risk and return at the properties' level in regards to the entire lifecycle of the properties. This includes activities such as definition of property strategy, supporting and attendance of acquisitions and sales activities, business planning and budgeting, tracking of commitments and expenses related to asset management, cash flow monitoring, reporting, research, data management, risk management and compliance, tendering and monitoring of ...
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                          Auditmanager/in (m/f/d)

                          Industrial and Commercial Bank of China Limited Frankfurt Branch
                          Frankfurt am Main
                          Schnelle Bewerbung
                          ICBC Frankfurt Branch is also the Euro Clearing Center of ICBC Group. Internal Audit Manager (m/f/d) This role involves evaluating the effectiveness of internal controls, risk management, and governance processes to enhance the bank's operations. * Assess the effectiveness of internal controls, risk management, and governance processes. * Oversee and review the adequacy and effectiveness of the branch's operations, internal controls, risk management, and corporate governance. * In-depth knowledge of internal audit principles, risk management, and German regulatory requirements.
                          ICBC Frankfurt Branch is also the Euro Clearing Center of ICBC Group. Internal Audit Manager (m/f/d) This role involves evaluating the effectiveness of internal controls, risk management, and governance processes to enhance the bank's operations. * Assess the effectiveness of internal controls, risk management, and governance processes. * Oversee and review the adequacy and effectiveness of the branch's operations, internal controls, risk management, and corporate governance. * In-depth knowledge of internal audit principles, risk management, and German regulatory requirements.
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                          To be the worldâs preeminent investment bank â trusted advisor, financier and risk manager for our clients on their most important transactions - © The Goldman Sachs Group, Inc., 2024.
                          To be the worldâs preeminent investment bank â trusted advisor, financier and risk manager for our clients on their most important transactions - © The Goldman Sachs Group, Inc., 2024.
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                          The team interacts closely with all areas of Risk, as well as with various groups across the firm including Executive Office, Controllers, Global Banking & Markets, Asset and Wealth Management and Risk Engineering. The Risk division identifies, monitors, assesses, and manages financial and non-financial risks in support of the firm's appetite and strategic plan as well as the risk of expected and unexpected events that may have an adverse impact on the firm. Risk teams play a critical function for the firm, driving how risk is taken and managed. Risk professionals execute critical day-to-day risk management activities, operating in a fast paced and dynamic environment and utilizing best-in-class risk tools and frameworks. Risk teams are analytically curious, have an aptitude for challenge, and an unwavering commitment to excellence.
                          The team interacts closely with all areas of Risk, as well as with various groups across the firm including Executive Office, Controllers, Global Banking & Markets, Asset and Wealth Management and Risk Engineering. The Risk division identifies, monitors, assesses, and manages financial and non-financial risks in support of the firm's appetite and strategic plan as well as the risk of expected and unexpected events that may have an adverse impact on the firm. Risk teams play a critical function for the firm, driving how risk is taken and managed. Risk professionals execute critical day-to-day risk management activities, operating in a fast paced and dynamic environment and utilizing best-in-class risk tools and frameworks. Risk teams are analytically curious, have an aptitude for challenge, and an unwavering commitment to excellence.
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                          NEU
                          Contribution to the Risk Identification process and regular reviews of portfolio level limit utilisation (VaR, group level limits, Banking Book exposures, Climate Risk). Morgan Stanley is seeking an Associate to support the Market Risk Department (MRD) team in Frankfurt meeting its projects and regulatory deliverables. * Coordination of the monthly Market Risk committees (minutes, material preparation) as well as risk material production for other risk committees (governance, model, stress-testing). * Involvement in strategic market risk projects such as FRTB, EBA Benchmarking, EBA Stress Testing. * Contributions to the implementation and maintenance of the market risk framework (including policies and procedures, Operational Risk, Tools & Model), ensuring alignment with industry best practices, regulatory standards and firm objectives.
                          Contribution to the Risk Identification process and regular reviews of portfolio level limit utilisation (VaR, group level limits, Banking Book exposures, Climate Risk). Morgan Stanley is seeking an Associate to support the Market Risk Department (MRD) team in Frankfurt meeting its projects and regulatory deliverables. * Coordination of the monthly Market Risk committees (minutes, material preparation) as well as risk material production for other risk committees (governance, model, stress-testing). * Involvement in strategic market risk projects such as FRTB, EBA Benchmarking, EBA Stress Testing. * Contributions to the implementation and maintenance of the market risk framework (including policies and procedures, Operational Risk, Tools & Model), ensuring alignment with industry best practices, regulatory standards and firm objectives.
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                          Partner with business management, risk, compliance colleagues and other control groups to identify control issues or areas which might potentially result in an audit finding - The Goldman Sachs Group, Inc. is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and individuals. The Global Compliance team prevents, detects and mitigates compliance, regulatory and reputational risk across the firm and helps to strengthen the firm's culture of compliance. Compliance accomplishes these through the firm's enterprise-wide compliance risk management program. As an independent control function and part of the firm's second line of defense, Compliance assesses the firm's compliance, regulatory and reputational ...
                          Partner with business management, risk, compliance colleagues and other control groups to identify control issues or areas which might potentially result in an audit finding - The Goldman Sachs Group, Inc. is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and individuals. The Global Compliance team prevents, detects and mitigates compliance, regulatory and reputational risk across the firm and helps to strengthen the firm's culture of compliance. Compliance accomplishes these through the firm's enterprise-wide compliance risk management program. As an independent control function and part of the firm's second line of defense, Compliance assesses the firm's compliance, regulatory and reputational ...
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                          Corporate (Senior) Auditor

                          Boehringer Ingelheim Corporate Center GmbH
                          Ingelheim am Rhein
                          In our diverse team you will determine whether Boehringer Ingelheim's risk management, systems of control and governance processes are adequate and functioning as intended. Alongside, you have access to programs and groups that ensure your health and wellbeing are looked after – as we make major investments to drive global accessibility to healthcare. From supportive services to safeguards against risks – with these offerings you stay in control of your financial situation.
                          In our diverse team you will determine whether Boehringer Ingelheim's risk management, systems of control and governance processes are adequate and functioning as intended. Alongside, you have access to programs and groups that ensure your health and wellbeing are looked after – as we make major investments to drive global accessibility to healthcare. From supportive services to safeguards against risks – with these offerings you stay in control of your financial situation.
                          mehr
                          CRG, which is organized as a specialist group within the Internal Audit Division (IAD), drives attention and resources to vulnerabilities by providing an independent and well-informed view and impactful messages about the most important risks facing our Firm. We are seeking an experienced candidate to join our Internal Audit team as a Vice President in the Credit Review Group (CRG), based in Frankfurt. CRG is responsible for the independent assessment of the quality of loan underwriting, adequacy of credit assessment and monitoring, accuracy of credit ratings, and compliance with relevant credit policies as well as relevant regulatory guidance relating to credit risk. This is accomplished by performing a range of assurance activities to independently assess the quality and effectiveness of Morgan Stanley's system of internal control, including risk management and ...
                          CRG, which is organized as a specialist group within the Internal Audit Division (IAD), drives attention and resources to vulnerabilities by providing an independent and well-informed view and impactful messages about the most important risks facing our Firm. We are seeking an experienced candidate to join our Internal Audit team as a Vice President in the Credit Review Group (CRG), based in Frankfurt. CRG is responsible for the independent assessment of the quality of loan underwriting, adequacy of credit assessment and monitoring, accuracy of credit ratings, and compliance with relevant credit policies as well as relevant regulatory guidance relating to credit risk. This is accomplished by performing a range of assurance activities to independently assess the quality and effectiveness of Morgan Stanley's system of internal control, including risk management and ...
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                          Whether you're an experienced attorney or a quick learner with a strong interest in financial law coupled with critical thinking skills, our dynamic group might be right for you. The team advises on the structuring and execution of transactions, development of new platforms and services, regulatory and market structure matters, and advises on all aspects of legal and reputational risk. * Advising on a variety of risk management and cross-border legal issues, in particular in relation to our complex hedging and financing structures, market structure reform in both cash and derivatives products and new product development
                          Whether you're an experienced attorney or a quick learner with a strong interest in financial law coupled with critical thinking skills, our dynamic group might be right for you. The team advises on the structuring and execution of transactions, development of new platforms and services, regulatory and market structure matters, and advises on all aspects of legal and reputational risk. * Advising on a variety of risk management and cross-border legal issues, in particular in relation to our complex hedging and financing structures, market structure reform in both cash and derivatives products and new product development
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                          Fachexperte Sach- und Technische Versicherung (m/w/d)

                          OSKAR SCHUNCK GmbH & Co. KG
                          Frankfurt am Main, Düsseldorf, Bielefeld, Bremen, Hamburg
                          Teilweise Home-Office
                          Seit mehr als 100 Jahren arbeitet die SCHUNCK GROUP in der Tradition und nach den Werten ihres Gründers Oskar Schunck: Denken und Handeln in langfristiger Verantwortung für Kunden, Mitarbeiter (m/w/d) und Partner. Die Schunck Group ist ein Unternehmen der Ecclesia Gruppe, die mit mehr als 2.400 Mitarbeitenden und einem platzierten Prämienvolumen von rund drei Milliarden Euro p. a. einer der größten Versicherungsmakler für Unternehmen und Institutionen in Deutschland und Europa ist.
                          Seit mehr als 100 Jahren arbeitet die SCHUNCK GROUP in der Tradition und nach den Werten ihres Gründers Oskar Schunck: Denken und Handeln in langfristiger Verantwortung für Kunden, Mitarbeiter (m/w/d) und Partner. Die Schunck Group ist ein Unternehmen der Ecclesia Gruppe, die mit mehr als 2.400 Mitarbeitenden und einem platzierten Prämienvolumen von rund drei Milliarden Euro p. a. einer der größten Versicherungsmakler für Unternehmen und Institutionen in Deutschland und Europa ist.
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                          Risk, Operational Risk/ Resilience, Associate, Frankfurt

                          Goldman Sachs AG MesseTurm
                          Frankfurt, Germany
                          Teilweise Home-Office
                          RISK The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and capital risk. Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success. OPERATIONAL RISKThe Operational Risk Department at Goldman Sachs is an independent risk management function responsible for developing and implementing a standardized framework to identify, measure, and monitor operational risk across the firm.. This Associate, Operational Resilience role is for a professional with subject matter expertise dedicated to actively employ and strengthen the components of the firm's operational risk management framework.
                          RISK The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and capital risk. Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success. OPERATIONAL RISKThe Operational Risk Department at Goldman Sachs is an independent risk management function responsible for developing and implementing a standardized framework to identify, measure, and monitor operational risk across the firm.. This Associate, Operational Resilience role is for a professional with subject matter expertise dedicated to actively employ and strengthen the components of the firm's operational risk management framework.
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                          Bank of China Ltd. Frankfurt Branch is part of Bank of China Group with its Head Office in Beijing. As China-s most globalized and integrated bank, Bank of China Group, in addition to its broad presence across the Chinese mainland, maintains an international footprint in 64 countries and regions and is being considered systemically important. Identify and assess risks related to potential credit business. * Identify, evaluate, and quantify risks associated with loan restructuring, including repayment ability, restructuring feasibility, and potential risk migration. * Prepare, compile, and present due diligence and risk assessment reports, clearly summarizing findings, key issues, and conclusions. * Work closely with risk controlling, legal, compliance, and business departments to support credit decision-making and post-restructuring management.
                          Bank of China Ltd. Frankfurt Branch is part of Bank of China Group with its Head Office in Beijing. As China-s most globalized and integrated bank, Bank of China Group, in addition to its broad presence across the Chinese mainland, maintains an international footprint in 64 countries and regions and is being considered systemically important. Identify and assess risks related to potential credit business. * Identify, evaluate, and quantify risks associated with loan restructuring, including repayment ability, restructuring feasibility, and potential risk migration. * Prepare, compile, and present due diligence and risk assessment reports, clearly summarizing findings, key issues, and conclusions. * Work closely with risk controlling, legal, compliance, and business departments to support credit decision-making and post-restructuring management.
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                          We are seeking a Head of Risk & Compliance, EMEA, focused on enabling and accelerating ServiceNow's Financial Services go-to-market strategy across Europe, the Middle East, and Africa. This executive leader will be the regional face of ServiceNow's Financial Services regulatory, risk, compliance, and operational resilience capabilities—partnering closely with customers, , industry bodies, and internal teams to shape market demand, build pipeline, influence strategy, and drive adoption of our industry solutions. * Serve as the regional industry executive for Risk, Compliance, Controls, and Operational Resilience across Financial Services. * Represent ServiceNow at conferences, roundtables, working groups, and industry associations across DACH, France, Benelux, UKI, Southern Europe, and Middle East markets. * Deliver high-impact enablement for regional teams to position ServiceNow as the platform of choice ...
                          We are seeking a Head of Risk & Compliance, EMEA, focused on enabling and accelerating ServiceNow's Financial Services go-to-market strategy across Europe, the Middle East, and Africa. This executive leader will be the regional face of ServiceNow's Financial Services regulatory, risk, compliance, and operational resilience capabilities—partnering closely with customers, , industry bodies, and internal teams to shape market demand, build pipeline, influence strategy, and drive adoption of our industry solutions. * Serve as the regional industry executive for Risk, Compliance, Controls, and Operational Resilience across Financial Services. * Represent ServiceNow at conferences, roundtables, working groups, and industry associations across DACH, France, Benelux, UKI, Southern Europe, and Middle East markets. * Deliver high-impact enablement for regional teams to position ServiceNow as the platform of choice ...
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                          Your team You will be part of the Directorate Risk Management, a dynamic team of professionals developing and maintaining the financial risk management frameworks that govern the Eurosystem's monetary policy operations and the ECB's investment operations. Moreover, the Directorate supports the ECB in achieving operational resilience by implementing sound non-financial risk, business continuity and critical incident management practices. * Financial Risk Analysis monitors the compliance of monetary policy and investment operations with their respective risk management frameworks. It also models, analyses and reports on financial risks. * Financial Risk Strategy designs and maintains the risk management frameworks and policies governing Eurosystem credit operations and non-standard monetary policy measures. * learn about the different risk management frameworks that ...
                          Your team You will be part of the Directorate Risk Management, a dynamic team of professionals developing and maintaining the financial risk management frameworks that govern the Eurosystem's monetary policy operations and the ECB's investment operations. Moreover, the Directorate supports the ECB in achieving operational resilience by implementing sound non-financial risk, business continuity and critical incident management practices. * Financial Risk Analysis monitors the compliance of monetary policy and investment operations with their respective risk management frameworks. It also models, analyses and reports on financial risks. * Financial Risk Strategy designs and maintains the risk management frameworks and policies governing Eurosystem credit operations and non-standard monetary policy measures. * learn about the different risk management frameworks that ...
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                          IT-Service Manager (m/w/d) 80% Remote

                          EICS Group GmbH Engineering Solutions
                          Frankfurt am Main
                          Teilweise Home-Office
                          EICS Group GmbH Engineering Solutions - Kontext: Der Service Manager ist für die Bereiche E-Mail Communication, File Service und Document and Content Management beheimatet.
                          EICS Group GmbH Engineering Solutions - Kontext: Der Service Manager ist für die Bereiche E-Mail Communication, File Service und Document and Content Management beheimatet.
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                          We are currently looking for an Administrative Assistant based in Frankfurt Germany to support our risk management team. Tishman Speyer has several employee affinity and interest groups that provide
                          We are currently looking for an Administrative Assistant based in Frankfurt Germany to support our risk management team. Tishman Speyer has several employee affinity and interest groups that provide
                          mehr
                          Wir arbeiten gemeinsam mit unseren Kunden aus der Banken-Branche an den Finance, Risk & Regulatory Architekturen der Zukunft. * Weiterentwicklung unseres fachlichen Portfolios rund um Themen wie z. B. Risikomanagement, New GL, Universal Journal, Profit Center Accounting, Asset Accounting, Immobilienmanagement, Treasury, Group Reporting, Konsolidierung, Business Partner usw.
                          Wir arbeiten gemeinsam mit unseren Kunden aus der Banken-Branche an den Finance, Risk & Regulatory Architekturen der Zukunft. * Weiterentwicklung unseres fachlichen Portfolios rund um Themen wie z. B. Risikomanagement, New GL, Universal Journal, Profit Center Accounting, Asset Accounting, Immobilienmanagement, Treasury, Group Reporting, Konsolidierung, Business Partner usw.
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                          Monitor risk limits and exposures (market, liquidity, counterparty) and support escalations * Run and validate core risk metrics and risk-bearing capacity calculations * Maintain and automate risk dashboards, data checks, and reporting pipelines * Assist with quantitative counterparty risk reviews and exposure tracking * Help develop, test, and document risk models for crypto portfolios * Prepare concise inputs for risk reports and projects to senior management * Experience in risk management (up to 2 years) in the financial services industry is an advantage * Experience in risk model development with programming skills (e.g. VBA, Python, R, SQL) is an advantage
                          Monitor risk limits and exposures (market, liquidity, counterparty) and support escalations * Run and validate core risk metrics and risk-bearing capacity calculations * Maintain and automate risk dashboards, data checks, and reporting pipelines * Assist with quantitative counterparty risk reviews and exposure tracking * Help develop, test, and document risk models for crypto portfolios * Prepare concise inputs for risk reports and projects to senior management * Experience in risk management (up to 2 years) in the financial services industry is an advantage * Experience in risk model development with programming skills (e.g. VBA, Python, R, SQL) is an advantage
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                          Was ist das Durchschnittsgehalt für Group Risk Manager in Rhein Main Gebiet?

                          Durchschnittsgehalt pro Jahr
                          70.400 €

                          Das Durchschnittsgehalt für Group Risk Manager in Rhein Main Gebiet liegt bei 70.400 €. Gehälter für Group Risk Manager in Rhein Main Gebiet liegen im Bereich zwischen 60.000 € und 81.000 €.

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                          Wie viele offene Stellenangebote gibt es für Group Risk Manager Jobs in Rhein Main Gebiet?
                          Aktuell gibt es auf StepStone 234 offene Stellenanzeigen für Group Risk Manager Jobs in Rhein Main Gebiet.

                          Welche anderen Orte sind auch beliebt für Leute, die in Rhein Main Gebiet einen Group Risk Manager Job suchen?
                          Folgende Orte sind auch interessant für Leute, die in Rhein Main Gebiet einen Group Risk Manager Job suchen: Frankfurt am Main, Wiesbaden, Mainz.

                          Welche anderen Jobs sind beliebt bei Kandidaten, die nach Group Risk Manager Jobs in Rhein Main Gebiet suchen?
                          Wer nach Group Risk Manager Jobs in Rhein Main Gebiet sucht, sucht häufig auch nach Risikomanager, Investor Relations Manager, Risk Internship.

                          Welche Fähigkeiten braucht man für Group Risk Manager Jobs in Rhein Main Gebiet??
                          Für einen Group Risk Manager Job in Rhein Main Gebiet sind folgende Fähigkeiten von Vorteil: Risikomanagement, Kommunikation, Deutsch, Englisch, Entwicklung.

                          Zu welcher Branche gehören Group Risk Manager Jobs in Rhein Main Gebiet?
                          Group Risk Manager Jobs in Rhein Main Gebiet werden allgemein der Kategorie Finanzen zugeordnet.

                          Wie viele offene Teilzeit-Stellen gibt es für Group Risk Manager Jobs in Rhein Main Gebiet?
                          Für Group Risk Manager Jobs in Rhein Main Gebiet gibt es aktuell 79 offene Teilzeitstellen.