Risk Governance Lead
at Santander Consumer Bank Nordics
Oslo, Oslo, Norway -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 11 Sep, 2024 | Not Specified | 15 Jun, 2024 | 5 year(s) or above | Management Skills,External Audit,Ict,Ecb,Powerpoint,Organization Skills,Excel,English,Moc | No | No |
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Description:
Santander Consumer Bank Nordics is one of the biggest players on the auto&consumer loan market with a proactive, holistic and ample approach to managing risks. Our Risk department is continuously monitoring regulatory and market developments and drives various initiatives to be well prepared to all changes, new conditions and requirements.
We are now looking for a Risk Governance Lead who will work to ensure that these initiatives have proper governance and will manage those through the entire life-cycle and in accordance with the agreed methodology, practices and frameworks. You will work in collaboration and across our Risk organization and other functions to coordinate and drive specific initiatives, projects and programs aimed for development, improvement and streamlining of Risk-related processes to support Santander’s main objectives.
COMPETENCIES AND SKILLS:
- Proven project/program and change management skills
- Methodical, structured way of working (planning, prioritization and organization skills) and effective approach to managing projects
- Strong team building skills, ability to establish a positive team-oriented work environment
- Strong working knowledge of Microsoft package and advanced user of Excel, PowerPoint and Word
- Fluent in written and spoken English, Scandinavian Language is a plus
- Proven risk management skill-set
- Deep knowledge of risk processes
EXPERIENCE:
- Desired 5-10 years of relevant work experience: Ideally from bank, insurance, consumer finance or consultancy
- Project management skill set with a proven track record * Experience with CRD IV and IFRS9, work with NDD is a benefit
- Basel III experience and awareness of Basel IV
- Experience working with or implementing MOC
- Understanding of ICT/Dora and underwriting (Credit/AML) processes
- Representing the bank / working with internal and/or external Audit, FSA or ECB
- Proven track record of managing multiple teams, including Cross-Functional delivery
- Stakeholder management skill set with a proven track record
- Proven experience working within the risk management processes
Responsibilities:
Please refer the Job description for details
REQUIREMENT SUMMARY
Min:5.0Max:10.0 year(s)
Financial Services
IT Software - Other
Finance
Graduate
Proficient
1
Oslo, Norway