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Senior Financial Risk Strategist

3 weeks ago


Dublin, Dublin City, Ireland Tn Ireland Full time
Company Overview

Goodbody is a leading financial services firm, committed to serving and growing client relationships for over 150 years. We are a full-service investment-led business offering wealth management, asset management, investment banking, and private equity services.

We operate from offices across Dublin, London, Cork, and Galway, employing over 400 staff members. Our goal is to provide a professional and collegial work environment that encourages diversity of thought and background.

About the Role

The Senior Financial Risk Strategist sits in our second line of defense, reporting directly to the Chief Risk Officer. This role encompasses the ownership and management of our Financial Risk Management Frameworks, including Market Risk, Credit Risk, Liquidity & Funding Risk, and Capital Adequacy Risk.

This position is a key member of our Risk Function's Senior Management Team and manages a team responsible for promoting, overseeing, and challenging the active management of financial risks, including those generated by Equity and Debt Capital Markets trading activities.

Key Responsibilities
  • Owning and managing all financial risk policies and frameworks, including limit definitions, calibrations, and Key Risk Indicators (KRIs).
  • Challenging and contributing to the formulation of our Material Risk Assessment and Risk Appetite for all aspects of Financial Risk.
  • Monitoring and assessing our Financial Risk profile on an ongoing basis.
  • Delivering clear, consistent reporting on our financial risk profile and emerging risks to relevant governance forums.
  • Engaging with business units to promote clear risk ownership, robust risk management, measurement, and data accuracy for all financial risk categories.
Required Skills and Qualifications

To succeed in this role, you will require significant experience in a 2nd line financial risk position, with expertise in capital markets trading, quantitative risk measurement techniques, and risk management processes.

Specifically, we are looking for candidates with:

  • Experience in developing, maintaining, and embedding risk frameworks and policies.
  • Familiarity with ICAAP/ICARAP, financial risk modeling, Fidessa, and Bloomberg.
  • A strong understanding of capital planning and liquidity management processes.
  • Excellent stakeholder management and people management skills.
  • Ability to form good working relationships across multi-disciplinary teams.
Benefits

As a valued member of our team, you can expect a range of benefits, including:

  • A competitive salary and bonus package.
  • Ongoing training and development opportunities.
  • A dynamic and inclusive work environment.
  • Opportunities for career progression and growth.
Our Culture

We are committed to fostering an inclusive workplace that values and benefits from the diversity of our workforce. We believe in creating long-term prosperity for our clients, employees, and communities. If you share our values and are passionate about delivering excellence in financial services, we would love to hear from you.