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2 дня назад

Senior Auditor/ Audit Supervisor Market Risk

Формат работы
hybrid
Тип работы
fulltime
Грейд
senior
Английский
b2
Страна
Netherlands
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Senior Auditor/ Audit Supervisor Market Risk (Market Risk/Treasury): Leading complex audits of market risk, treasury, liquidity, capital management, and related financial risk activities with an accent on governance, controls, models, methodologies, and regulatory compliance. Focus on defining audit scope, testing control effectiveness, challenging senior stakeholders, and translating complex risk observations into clear, evidence-based conclusions.

Location: Amsterdam, Netherlands; hybrid work between home and the office

Company

hirify.global provides corporate audit services across ING's global organisation, including specialist coverage of market risk management, treasury, and related financial risk areas.

What you will do

  • Perform and lead complex audits across market risk management, treasury, trading book and banking book risk.
  • Assess end-to-end risk management processes, governance, controls, models, methodologies, and management information.
  • Review the design and operating effectiveness of controls covering counterparty credit risk, valuation, liquidity, funding, capital management, ICAAP, and ILAAP.
  • Identify key risks, define audit scope, develop testing procedures, and formulate evidence-based findings.
  • Challenge management constructively and communicate audit outcomes clearly to stakeholders and senior management.
  • Contribute to audit planning, continuous risk monitoring, specialist knowledge sharing, and team development.

Requirements

  • More than 5 years of relevant experience in market risk management and/or internal audit within a major bank, financial institution, consultancy, or audit environment.
  • Academic degree, preferably supplemented by FRM, CFA, PRM, CIA, or an equivalent qualification.
  • Solid knowledge of market risk processes, risk measurement, trading products, and the regulatory environment for financial risk management.
  • Experience with trading risk, counterparty credit risk, valuation, ICAAP, ILAAP, funding and liquidity risk, capital management, IRRBB, CSRBB, or Asset & Liability Management.
  • Strong analytical, verbal, and written communication skills in English.
  • Willingness to travel when required for international audits and work effectively in international teams.

Culture & Benefits

  • Hybrid working between home and the office in Amsterdam.
  • International audit collaboration with local teams and central specialists.
  • 25–28 vacation days depending on the contract.
  • Pension scheme, 13th month salary, and 8% holiday payment.
  • Personal growth, challenging work, continuous learning, and an informal environment with innovative colleagues.

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