A specialised international banking institution with a strong focus on structured finance and capital markets activities is seeking an experienced Senior Risk Controller to strengthen its Risk Controlling function. The role sits close to senior stakeholders and plays a key part in enhancing risk transparency, regulatory alignment, and strategic decision-making.
Perform in-depth risk analysis across credit, market and liquidity risk portfolios
Prepare senior management reporting and support risk steering processes
Develop and enhance risk models, methodologies and internal frameworks
Monitor regulatory requirements and contribute to implementation initiatives
Collaborate closely with Front Office, Treasury, Finance and senior stakeholders
Support ICAAP-related processes and internal risk governance structures
Contribute to audits, regulatory requests and internal control improvements
Several years of experience in Risk Controlling, Risk Analytics or Risk Management within a bank or financial institution
Strong understanding of regulatory frameworks (e.g. MaRisk, CRR/CRD)
Analytical mindset with solid quantitative and reporting skills
Experience working in a specialised lending, structured finance or capital markets environment is advantageous
Fluent English and German Language proficiency
High-impact role with strong visibility to senior management
International yet agile banking environment
Hybrid working model
Competitive compensation and development opportunities
Collaborative and entrepreneurial culture