Risk Consulting Manager (Hybrid)
Job description
The Opportunity
As a member of our Consulting team, you will work within teams to deliver Risk Solutions to our financial services clients (banks, capital markets, insurance etc.) covering but not limited to credit risk modelling, IFRS 9 implementation, end-to-end credit and operational risk review, IFRS 9 ECL review, ICAAP and ILAAP reviews etc.
Your key responsibilities
Developing an in-depth understanding of the regulatory landscape for financial institutions, including relevant regulatory requirements by NBR, EBA, ECB, the Basel Committee etc.
- Developing a deep knowledge of relevant financial risk management methodologies and approaches, with the ability to communicate, apply and modify them as required
- Developing a working understanding of clients’ businesses and the financial risk management solutions that they may require
- Designing detailed work plans for client engagements and leading your team to execute challenging tasks with strict timelines
- Identifying opportunities and providing support to management on business development activities
- Contributing to thought leadership on emerging issues in the financial services risk space
- Lead small teams to deliver successful engagements
Skills and attributes for success
- Ability to work in a fast-paced, dynamic environment and adapt to changing priorities
- Resourceful team player with a positive attitude to work, enthusiasm for learning, good presentation skills and ability to work with minimal supervision
- Exceptional analytical, problem-solving, and proven project management skills
To qualify for this role you must have
- Minimum of Bachelor’s degree in Economics, Computer Science, Mathematics, Statistics, Physics, Engineering or other quantitative discipline
- Professional qualification(s) such as CA, ACCA, FRM, CFA or equivalent are an added advantage.
- 3 – 5 years relevant experience.
- Practical experience in credit risk modeling, including PD, LGD and EAD estimation, IFRS 9 implementation, IFRS 9 ECL review and end to end credit process diagnostic review, preferably in a professional service environment or financial institution
- Practical experience with derivatives valuation, including the valuation of forwards, futures, cross currency and interest rate swaps, employee share options etc. as well as hedge accounting
- Practical experience with Basel III implementation, including ICAAP implementation, estimation of risk capital requirements using standardized and advanced approaches, and stress testing
- Experience in development of risk management policies, Recovery and Resolution Planning, ILAAP, treasury and liquidity risk management, market risk management and operational risk management would be an added advantage
- Exposure to VBA, R-studio, Python and other data analysis tools would be an added advantage
What working at EY offers
- We will fuel your ambition and potential with future-focused skills development that equips you with state-of-the-art methodologies and technology-enabled solutions
- At EY, you’ll learn A LOT through experience, on a variety of projects for a diverse range of BIG clients
- Get free certifications (ACCA) and enjoy national & international training
- Get extra vacation days when public holidays fall on a weekend
- Join an EY Community and practice your hobby with your colleagues off-work
- Get plenty of discounts, perks and medical coverage
- Free access to Udemy, EY Badges
- Bookster library
- Medical subscription for employees and family members (wife/husband/children)
- Life & accident insurance
- EAP – Employee Assistance Program - Short term confidential counselling services for you and those who live with you
Are you ready to shape your future with confidence? Apply today.
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