To develop and implement the bank's financial plans and stress testing methodologies by assessing the bank's resilience under various economic scenarios.
Development and implementation of stress testing methodologies and analysis of the results to identify potential vulnerabilities, assess capital adequacy, and inform risk mitigation strategies.
Management of the bank's financial risks, including development and implementation of risk management strategies and communication of financial risks to relevant stakeholders.
Analysis of the bank's capital position and assessment of its ability to meet regulatory capital requirements.
Orchestration of process cycles for the Planning and Stress Testing FTC and project managing delivery.
Requirements
Extensive senior-level experience (15+ years) in stress testing, credit risk, impairment, capital analytics, or related fields within global banking.
Proven leadership experience managing large, specialist teams across geographies, with a strong track record of building capability, developing successors, and leading through change.
Demonstrated ownership of complex control environments, including governance, audit management, regulatory engagement, issue remediation and data quality oversight.
Track record of driving operating model transformation, process simplification and technology‑enabled change within Finance or Risk functions.
Excellent communication skills, with the ability to articulate complex technical outcomes clearly and concisely to senior decision‑makers.