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Balance Sheet Advisor

We redefine banking. What about you?

There has never been a more interesting time to work at ING. We’re on a journey that’s centered around our customers, powered by technology and driven by smart, determined people. Risk management sits at the top of ING values and priorities. Would you like to work for a bank where honesty, integrity and responsibility are valued? Are sustainability, caring for others and thinking ahead part of your DNA? Then continue reading because ING might very well be your future employer.

Your role & work environment

As a Balance Sheet Risk Senior Expert, you will be responsible for the IRRBB stream, managing the risks arising from commercial activities from ING Belgium and Group Treasury, more specifically on market risk and interest rate risks in the banking books. You will play a central role by managing the IRRBB roadmap implementation for ING Belgium, driving the regulatory reporting and related analyses, performing key annual reviews such as risk identification and risk appetite definition, and understanding market, business and behavioral models evolution and their impact on risk positions. You will also support strategic expansion of IRRBB scoping, ensure compliance with internal and external standards, and interact with a transversal and senior audience, both locally and at ING Group level.

Your key responsibilities

  • Be a central player in a key risk management team, actively contributing and leading strategic change programs to ensure breadth and depth of risks coverage
  • Ensure appropriate identification, understanding and management of market, model and interest rate risks, and be key in defining the Bank’s risk appetite for them
  • Provide in depth analysis on IRRBB (sub-) risks based on your experience and expertise, and discuss them with colleagues from the commercial network, finance, Financial Market and Group Treasury
  • Anticipate market, industry and idiosyncratic developments to ensure appropriate capturing, modelling and management of underlying IRRBB risks
  • Actively participate in Group-wide and locally-transversal reflections on the identification and management of new and emerging risks in a continuously evolving environment

We are looking for

A colleague with atalent for taking it on and making it happen,enthusiasm forhelping others to be successfuland a knack for always being a step ahead. In other words, you strive to bring fresh ideas to life and embrace challenges in a fast changing and complex environment. You are a naturally collaborative person who listens and invests in others to achieve common goals. You love to challenge the status quo and are eager to propose creative solutions to problems.

  • Master degree and 10 years of relevant professional experience
  • Very strong problem solving and analytical skills, complemented by a great ability in project management
  • In-depth knowledge of financial instruments and balance sheets dynamics
  • Experience of market risk management or financial markets/treasury is a must
  • Being a team leader and player, while mastering autonomous work
  • Being result-oriented with a strong drive
  • Good knowledge of English and Dutch or French

We offer you

A brand new position in a strategic team, addressing topics at the heart of the bank business, purpose and sustainability with very high visibility. Opportunity to influence the Bank results and risk profile for the future and be recognized by senior leaders for personal impact. Development of new skills around banking, risk management and analytics.

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