We’re seeking someone to join our team a s a Climate Risk Vice President to work as part of the wider EMEA and Asia Climate Risk Central (CRC) Team
The CRC team identifies, monitors and manages Climate Risk of the EMEA and Asia portfolio based on the established Climate Risk Management framework. The team is responsible for monitoring regulatory requirements from the European Central Bank, the Bank of England, and Asian regulators as well as ensuring the timely implementation of new regulations. The CRC team coordinates the implementation of the Climate Risk frameworks across Risk Management teams providing expertise on Climate and Nature Risks. The CRC team also coordinates climate stress testing including internal and regulatory scenarios and it is responsible for Climate Risk disclosures.
What you'll do in the role:
Coordinate the cross divisional response to EMEA and Asia regulatory requirements on the management of Climate and Nature risks, including overseeing action plans and assessments of new regulations
Draft and develop governance materials and risk framework documentation
Coordinate the implementation of Climate Risk scenarios in EMEA and Asia, addressing regional regulatory requirements
Lead and contribute to Climate Risk methodology developments in coordination with Risk Analytics, Credit and Market Risk stress testing
Apply understanding of the impact of climate risk on economies and corporations to risk management via contributing to the enhancement of rating methodologies and portfolio and sector risk management (including limit reporting)
Liaise with stakeholders across risk disciplines to support the implementation of Climate and Environmental Risk frameworks
Contribute to the enhancement of climate-focused physical and transition scenarios for stress testing
Contribute to maintaining and incorporate new regulatory requirements to the EMEA financial statements and Pillar 3 ESG disclosures
What you'll bring to the role:
Bachelor's degree or equivalent
Profound interest in developing fundamental understanding of Climate and Nature Risk and its implications for risk management
+6 years of experience in financial institutions or corporates working in Sustainability teams or in Risk Management, in credit risk and/or stress testing (preferred)
Experience with technical models / rating models / stress testing
Experience in development of governance materials
What will help you in the role:
The ability to effectively communicate with a wide range of stakeholders, both written and verbally
An interest in working in a fast-paced environment, often balancing multiple high priority deliverables
Confidence to take ideas forward and to challenge others, where appropriate, with experience in management by influence, facilitating and gaining consensus
The ability to work independently in a self-directed way in a collaborative, team-oriented environment
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