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                          14 Treffer für Manager/ess Liquidity Risk Jobs

                          Risk Controlling Manager, Liquidity Risk (ILAAP)

                          N26 GmbH
                          Berlin
                          Teilweise Home-Office
                          We are seeking a Manager Risk Controlling to help us further develop and strengthen our Risk Controlling function with a focus on the Internal Liquidity Adequacy Assessment Process (ILAAP) and overall Liquidity Risk Management. As a Risk Controlling Manager with a focus on ILAAP and liquidity risk, you will have the opportunity to shape the future of risk management in a fast-paced, forward-thinking environment. As part of the Risk Controlling team, you will lead the development, implementation, and analysis of models for liquidity risk controlling, covering both regulatory requirements (Pillar I) and internal methodologies. * Lead the design, maintenance, and continuous improvement of the ILAAP framework, ensuring it accurately reflects the firm's liquidity adequacy and risk appetite. * Develop and enhance advanced methodologies for measuring liquidity ...
                          We are seeking a Manager Risk Controlling to help us further develop and strengthen our Risk Controlling function with a focus on the Internal Liquidity Adequacy Assessment Process (ILAAP) and overall Liquidity Risk Management. As a Risk Controlling Manager with a focus on ILAAP and liquidity risk, you will have the opportunity to shape the future of risk management in a fast-paced, forward-thinking environment. As part of the Risk Controlling team, you will lead the development, implementation, and analysis of models for liquidity risk controlling, covering both regulatory requirements (Pillar I) and internal methodologies. * Lead the design, maintenance, and continuous improvement of the ILAAP framework, ensuring it accurately reflects the firm's liquidity adequacy and risk appetite. * Develop and enhance advanced methodologies for measuring liquidity ...
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                          Du baust das Competence Center Treasury, Cash & Liquidity Management weiter aus und sorgst für nachhaltiges Wachstum. * Geschäftsausbau: Durch deine Expertise stärkst du das Competence Center Treasury, Cash & Liquidity Management inhaltlich, strukturell und vertrieblich.
                          Du baust das Competence Center Treasury, Cash & Liquidity Management weiter aus und sorgst für nachhaltiges Wachstum. * Geschäftsausbau: Durch deine Expertise stärkst du das Competence Center Treasury, Cash & Liquidity Management inhaltlich, strukturell und vertrieblich.
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                          Noch nichts dabei? Es gibt 12 weitere Jobs, die zu deiner Suche passen könnten

                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Morgan Stanley is seeking a risk professional to join the Credit Risk Management department in Frankfurt at Vice President level. The role holder will have responsibility for the credit risk management of the Firm's business with clients and with additional involvement in credit risk management related governance and regulatory deliverables. The role will reside within Firm Risk Management's Credit Risk Management Department. Credit Risk Management (CRM) evaluates credit risk transactions and approves, rejects or ...
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Morgan Stanley is seeking a risk professional to join the Credit Risk Management department in Frankfurt at Vice President level. The role holder will have responsibility for the credit risk management of the Firm's business with clients and with additional involvement in credit risk management related governance and regulatory deliverables. The role will reside within Firm Risk Management's Credit Risk Management Department. Credit Risk Management (CRM) evaluates credit risk transactions and approves, rejects or ...
                          mehr
                          End-to-end responsibility for fund and securities risk management across alternative assets, with a strong focus on credit portfolios, private debt, structured credit and multi-asset strategies, including market, liquidity and credit risk management for liquid and semi-liquid fund structures * Ensuring full compliance with regulatory requirements, including investment and limit checks, stress testing and other supervisory obligations, including liquidity risk management, redemption stress testing and escalation frameworks - With 40 years of experience as an asset and investment manager, UniCredit Invest Alternatives GmbH is among the most respected and leading experts for real asset investments in Germany. * Managing, developing and continuously overseeing all risk management activities throughout the full investment lifecycle
                          End-to-end responsibility for fund and securities risk management across alternative assets, with a strong focus on credit portfolios, private debt, structured credit and multi-asset strategies, including market, liquidity and credit risk management for liquid and semi-liquid fund structures * Ensuring full compliance with regulatory requirements, including investment and limit checks, stress testing and other supervisory obligations, including liquidity risk management, redemption stress testing and escalation frameworks - With 40 years of experience as an asset and investment manager, UniCredit Invest Alternatives GmbH is among the most respected and leading experts for real asset investments in Germany. * Managing, developing and continuously overseeing all risk management activities throughout the full investment lifecycle
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                          In this role, you will develop new innovative Investment & product solutions in close cooperation with Portfolio Management, within the group, and structuring colleagues and take responsibility as Risk Manager for these across the entire product and investment lifecycle. * End-to-end responsibility for fund and securities risk management across alternative assets, with a focus on liquid strategies, particularly structured products and derivative payoff profiles, including market, model and liquidity risk management for complex and non-linear payoff structures - With 40 years of experience as an asset and investment manager, UniCredit Invest Alternatives GmbH is among the most respected and leading experts for real asset investments in Germany. To achieve our ambitious growth targets we are looking for a Risk Management Specialist (m/w/d) with focus on liquid strategies, ...
                          In this role, you will develop new innovative Investment & product solutions in close cooperation with Portfolio Management, within the group, and structuring colleagues and take responsibility as Risk Manager for these across the entire product and investment lifecycle. * End-to-end responsibility for fund and securities risk management across alternative assets, with a focus on liquid strategies, particularly structured products and derivative payoff profiles, including market, model and liquidity risk management for complex and non-linear payoff structures - With 40 years of experience as an asset and investment manager, UniCredit Invest Alternatives GmbH is among the most respected and leading experts for real asset investments in Germany. To achieve our ambitious growth targets we are looking for a Risk Management Specialist (m/w/d) with focus on liquid strategies, ...
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                          We are seeking a Manager Risk Controlling to help us further develop and strengthen our Risk Controlling function with a focus on steering interest rate risk in the banking book. As Manager Market Risk, you will have the opportunity to shape the future of risk management in a fast-paced, forward-thinking environment. * Spearhead cross-functional initiatives to improve the quality, governance, and lineage of core balance sheet and derivative data used in IRRBB, CSRBB and liquidity risk calculations. As part of the ICAAP Methodology & Analytics team, you will be supporting with model development, implementation and data analysis for risk controlling, with a focus on Pillar II and interest rate risk in the banking book. You will contribute to assessing, controlling, and reporting N26's risks while ensuring effective collaboration across various teams and stakeholders.
                          We are seeking a Manager Risk Controlling to help us further develop and strengthen our Risk Controlling function with a focus on steering interest rate risk in the banking book. As Manager Market Risk, you will have the opportunity to shape the future of risk management in a fast-paced, forward-thinking environment. * Spearhead cross-functional initiatives to improve the quality, governance, and lineage of core balance sheet and derivative data used in IRRBB, CSRBB and liquidity risk calculations. As part of the ICAAP Methodology & Analytics team, you will be supporting with model development, implementation and data analysis for risk controlling, with a focus on Pillar II and interest rate risk in the banking book. You will contribute to assessing, controlling, and reporting N26's risks while ensuring effective collaboration across various teams and stakeholders.
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                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Background on the PositionThe role will reside within the Firm Risk Management's Liquidity Risk Department which is a team dedicated to providing independent oversight of the Firm's business activities, serving as a second line of defense to ensure that the size and composition of the Firm's liquidity resources are adequate in amount and quality. The Liquidity Risk Department reports to the and is responsible for independent oversight and monitoring of the Firm's overall trading, funding, financing and banking ...
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Background on the PositionThe role will reside within the Firm Risk Management's Liquidity Risk Department which is a team dedicated to providing independent oversight of the Firm's business activities, serving as a second line of defense to ensure that the size and composition of the Firm's liquidity resources are adequate in amount and quality. The Liquidity Risk Department reports to the and is responsible for independent oversight and monitoring of the Firm's overall trading, funding, financing and banking ...
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                          Risk Control Associate

                          Industrial and Commercial Bank of China Limited Frankfurt Branch
                          Frankfurt am Main
                          Schnelle Bewerbung
                          Expertise in credit risk, interest rate and liquidity risk, overall risk management and banking supervisory law (CRR, MaRisk, KWG, Basel III, etc.) * Support in all operational and strategic risk management and risk controlling tasks * Methodical improvement, optimization and maintenance of the internal risk measurement and monitoring procedures as well as the internal and external risk reporting system * Collaboration in the development and validation of risk models * Participation in projects for the implementation and fulfillment of regulatory requirements in risk controlling/management * Good knowledge of banking products and their mapping in a bank's systems as well as knowledge of mathematical and statistical methods and IT-systems knowledge in relation to risk management/controlling * Relevant professional experience in the fields of risk controlling or accounting
                          Expertise in credit risk, interest rate and liquidity risk, overall risk management and banking supervisory law (CRR, MaRisk, KWG, Basel III, etc.) * Support in all operational and strategic risk management and risk controlling tasks * Methodical improvement, optimization and maintenance of the internal risk measurement and monitoring procedures as well as the internal and external risk reporting system * Collaboration in the development and validation of risk models * Participation in projects for the implementation and fulfillment of regulatory requirements in risk controlling/management * Good knowledge of banking products and their mapping in a bank's systems as well as knowledge of mathematical and statistical methods and IT-systems knowledge in relation to risk management/controlling * Relevant professional experience in the fields of risk controlling or accounting
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                          The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and model risk. Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success. We are a function within the Risk Division (second line of defence) responsible for managing the Division's regulatory compliance and legal entity governance across risk disciplines (i.e. market risk, credit risk, finance risk, operational risk, model risk), among leading other important initiative for the Division. The Regulatory Engagement function manages and oversees regulatory interactions and obligations, key legal entity governance processes e.g. around risk identification, risk ...
                          The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and model risk. Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success. We are a function within the Risk Division (second line of defence) responsible for managing the Division's regulatory compliance and legal entity governance across risk disciplines (i.e. market risk, credit risk, finance risk, operational risk, model risk), among leading other important initiative for the Division. The Regulatory Engagement function manages and oversees regulatory interactions and obligations, key legal entity governance processes e.g. around risk identification, risk ...
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                          Client Solutions serves all our regions and is comprised of three excellent product factories: Corporate Solutions delivers tailored solutions in advisory, financing, risk management, trade and working capital for our corporate clients; Individual Solutions ensures a rich offering of investment and protection products for individuals; whilst Group Payments Solutions supports corporates, financial institutions, and individual customers in all their payments and liquidity management needs.
                          Client Solutions serves all our regions and is comprised of three excellent product factories: Corporate Solutions delivers tailored solutions in advisory, financing, risk management, trade and working capital for our corporate clients; Individual Solutions ensures a rich offering of investment and protection products for individuals; whilst Group Payments Solutions supports corporates, financial institutions, and individual customers in all their payments and liquidity management needs.
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                          Senior/Lead Consultant Treasury

                          CNT Management Consulting GmbH
                          Mainz
                          Teilweise Home-Office
                          Schnelle Bewerbung
                          Knowledge of one or more SAP modules in the area of treasury (e.g. Cash Management, In-House Cash, Advanced Payment Management, Payment Transactions, Liquidity Planning, FX & Commodity Management, Derivatives, Risk Management) * Advising customers on SAP Treasury & Risk Management (TRM) projects with a focus on S/4HANA * Experience in SAP Treasury & Risk Management (TRM), including project planning, control, and implementation
                          Knowledge of one or more SAP modules in the area of treasury (e.g. Cash Management, In-House Cash, Advanced Payment Management, Payment Transactions, Liquidity Planning, FX & Commodity Management, Derivatives, Risk Management) * Advising customers on SAP Treasury & Risk Management (TRM) projects with a focus on S/4HANA * Experience in SAP Treasury & Risk Management (TRM), including project planning, control, and implementation
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                          Analyst, Fund Management

                          LaSalle Investment Management Kapitalverwaltungsgesellschaft mbH
                          Munich, DEU
                          Schnelle Bewerbung
                          Contribute detailed analysis for liquidity management, risk management and strategic planning on portfolio level
                          Contribute detailed analysis for liquidity management, risk management and strategic planning on portfolio level
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                          WIKA Gruppe * Klingenberg * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Finanzen & Controlling | 63911, Klingenberg/Main | Berufserfahrene | Vollzeit - Die WIKA Gruppe gehört mit ihren Produkten, Dienstleistungen und Services in der Messtechnik zur Weltspitze. Mit hervorragenden Sensoriklösungen ermöglichen wir sichere, effiziente sowie nachhaltige Prozesse. Und das bereits seit über 75 Jahren. Aktuell machen sich mehr als 11.000 Mitarbeitende dafür stark. Gemeinsam begegnen wir den Megatrends Demografischer Wandel, Digitalisierung und Nachhaltigkeit. Das bringt Herausforderungen mit sich und viele Chancen. Aus neuen Sichtweisen und Ideen entstehen Innovation und Wachstum. Wie lauten Ihre? Machen Sie sich mit uns auf den Weg in eine bessere Zukunft. Ihre Aktivitäten * Sparringspartner für unsere weltweite Finanzorganisation, Unterstützung ...
                          WIKA Gruppe * Klingenberg * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Finanzen & Controlling | 63911, Klingenberg/Main | Berufserfahrene | Vollzeit - Die WIKA Gruppe gehört mit ihren Produkten, Dienstleistungen und Services in der Messtechnik zur Weltspitze. Mit hervorragenden Sensoriklösungen ermöglichen wir sichere, effiziente sowie nachhaltige Prozesse. Und das bereits seit über 75 Jahren. Aktuell machen sich mehr als 11.000 Mitarbeitende dafür stark. Gemeinsam begegnen wir den Megatrends Demografischer Wandel, Digitalisierung und Nachhaltigkeit. Das bringt Herausforderungen mit sich und viele Chancen. Aus neuen Sichtweisen und Ideen entstehen Innovation und Wachstum. Wie lauten Ihre? Machen Sie sich mit uns auf den Weg in eine bessere Zukunft. Ihre Aktivitäten * Sparringspartner für unsere weltweite Finanzorganisation, Unterstützung ...
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                          Team Profile: Regulatory Controllers is a global team operating within the finance division responsible for the production, monitoring and reporting of regulatory capital information. The Financial Resources Team forms part of Regulatory Controllers and supports Morgan Stanley businesses in understanding, challenging and optimizing their capital resources. * Morgan Stanley * Frankfurt, Germany * Feste Anstellung * Vollzeit - Introduction - About us: Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. Morgan Stanley provides a superior foundation for building a professional career - a place for people to learn, achieve and grow. - Have responsibility for project related work primarily for a Legal Entity restructuring initiatives / financial metrics forecasting including Balance Sheet, ...
                          Team Profile: Regulatory Controllers is a global team operating within the finance division responsible for the production, monitoring and reporting of regulatory capital information. The Financial Resources Team forms part of Regulatory Controllers and supports Morgan Stanley businesses in understanding, challenging and optimizing their capital resources. * Morgan Stanley * Frankfurt, Germany * Feste Anstellung * Vollzeit - Introduction - About us: Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. Morgan Stanley provides a superior foundation for building a professional career - a place for people to learn, achieve and grow. - Have responsibility for project related work primarily for a Legal Entity restructuring initiatives / financial metrics forecasting including Balance Sheet, ...
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                          In Internal Audit, we ensure that Goldman Sachs maintains effective controls by assessing the reliability of financial reports, monitoring the firm's compliance with laws and regulations, and advising management on developing smart control solutions. Goldman Sachs Internal Audit comprises individuals from diverse backgrounds including chartered accountants, developers, risk management professionals, cybersecurity professionals, and data scientists. As the third line of defense, Internal Audit's mission is to independently assess the firm's internal control structure, including the firm's governance processes and controls, and risk management and capital and anti-financial crime frameworks, raise awareness of control risk and monitor the implementation of management's control measures. * Prepare commercially effective audit conclusions and findings, and present to IA ...
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                          Senior Consultant (m/w/d) Bereich Asset- und Risikomanagement

                          Preyer GmbH
                          Kronberg im Taunus, München, Frankfurt am Main, Münster, Berlin, Hamburg, Stuttgart
                          Teilweise Home-Office
                          Schnelle Bewerbung
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                          In enger Zusammenarbeit mit Stakeholdern aus Fachbereichen, IT und Finance – sowohl auf nationaler als auch auf internationaler Ebene – stimmst Du relevante Funktionalitäten ab und verankerst sie nachhaltig und einheitlich in der gesamten Organisation. * ING Deutschland * Frankfurt am Main * Feste Anstellung * Vollzeit - Die ING ist mit rund 10 Millionen Kund*innen die drittgrößte Privatkundenbank in Deutschland. Wer bei der ING arbeitet, macht nicht einfach einen Job. Arbeiten bei uns ist die Chance, etwas zu verändern. Wie das geht? Indem wir als globale Bank das Leben von Millionen Menschen berühren und danach streben, einen positiven Einfluss auf die Gesellschaft und unseren Planeten zu haben. Und indem wir dank unserer Start-up-Mentalität menschlich, nahbar und persönlich bleiben – als unbanky Bank. Du denkst strategisch, hinterfragst kritisch und bringst komplexe Sachverhalte auf den Punkt? Perfekt!
                          In enger Zusammenarbeit mit Stakeholdern aus Fachbereichen, IT und Finance – sowohl auf nationaler als auch auf internationaler Ebene – stimmst Du relevante Funktionalitäten ab und verankerst sie nachhaltig und einheitlich in der gesamten Organisation. * ING Deutschland * Frankfurt am Main * Feste Anstellung * Vollzeit - Die ING ist mit rund 10 Millionen Kund*innen die drittgrößte Privatkundenbank in Deutschland. Wer bei der ING arbeitet, macht nicht einfach einen Job. Arbeiten bei uns ist die Chance, etwas zu verändern. Wie das geht? Indem wir als globale Bank das Leben von Millionen Menschen berühren und danach streben, einen positiven Einfluss auf die Gesellschaft und unseren Planeten zu haben. Und indem wir dank unserer Start-up-Mentalität menschlich, nahbar und persönlich bleiben – als unbanky Bank. Du denkst strategisch, hinterfragst kritisch und bringst komplexe Sachverhalte auf den Punkt? Perfekt!
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                          Knowledge and expertise in auditing Anti-Money Laundering (AML), financial crime risks and related regulations e.g. MaRisk, MaComp, GwG, etc. The primary role of Internal Audit is to help protect the assets, reputation and sustainability of the organization. * Prepare commercially effective audit conclusions and findings, and present to Internal Audit senior management and business stakeholders * Participate in department-wide initiatives aimed at continually improving Internal Audit's processes and supporting infrastructure * Internal audit, compliance or quality assurance testing experience * Approximately 4 years of experience in a public accounting, consulting, internal audit and/or regulatory agency examiner role within the financial services industry or a related control function (i.e., Compliance Officer or Legal coverage)
                          Knowledge and expertise in auditing Anti-Money Laundering (AML), financial crime risks and related regulations e.g. MaRisk, MaComp, GwG, etc. The primary role of Internal Audit is to help protect the assets, reputation and sustainability of the organization. * Prepare commercially effective audit conclusions and findings, and present to Internal Audit senior management and business stakeholders * Participate in department-wide initiatives aimed at continually improving Internal Audit's processes and supporting infrastructure * Internal audit, compliance or quality assurance testing experience * Approximately 4 years of experience in a public accounting, consulting, internal audit and/or regulatory agency examiner role within the financial services industry or a related control function (i.e., Compliance Officer or Legal coverage)
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                          Investment Banking Associate / Vice President M&A (f/m/d)

                          Crédit Agricole Corporate and Investment Bank Germany
                          Frankfurt am Main
                          Teilweise Home-Office
                          Crédit Agricole CIB is the Corporate and Investment Bank of the Crédit Agricole Group, the twelfth largest banking group in the world by Tier 1 capital ratio (The Banker, July 2021). Crédit Agricole CIB offers corporate and institutional clients a wide range of products and services in Capital Markets, Investment Banking, Structured Finance, Commercial Banking and International Trade. The Global Investment Banking (GIB) division advises clients related to mergers & acquisitions, equity capital markets transactions and specialized financing. * Minimum 5-7 years of relevant investment banking experience * Crédit Agricole Corporate and Investment Bank Germany * Frankfurt am Main * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Nearly 8,600 employees in Europe, the Americas, Asia-Pacific, the Middle East and Africa accompany the bank's clients and help them meet their ...
                          Crédit Agricole CIB is the Corporate and Investment Bank of the Crédit Agricole Group, the twelfth largest banking group in the world by Tier 1 capital ratio (The Banker, July 2021). Crédit Agricole CIB offers corporate and institutional clients a wide range of products and services in Capital Markets, Investment Banking, Structured Finance, Commercial Banking and International Trade. The Global Investment Banking (GIB) division advises clients related to mergers & acquisitions, equity capital markets transactions and specialized financing. * Minimum 5-7 years of relevant investment banking experience * Crédit Agricole Corporate and Investment Bank Germany * Frankfurt am Main * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Nearly 8,600 employees in Europe, the Americas, Asia-Pacific, the Middle East and Africa accompany the bank's clients and help them meet their ...
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                          Working alongside our Insurance Asset Management coverage team for Germany, Austria and Switzerland (DACH region), this individual will partner with our dedicated investment and strategy teams across both private and public markets to manage, enhance and develop client relationships. The Insurance Asset Management team provides innovative solutions for life, health, property and casualty and reinsurance companies. In addition, the Insurance Asset Management team collaborates with clients on topics, including asset allocation, risk budgeting and asset / liability management. Globally focused, our Insurance Asset Management team manages general account insurance assets for clients across Europe, North America, Bermuda, Asia and the Middle East. Are you a motivated, quick-thinking, collaborative individual with a passion for asset management, looking for the ...
                          Working alongside our Insurance Asset Management coverage team for Germany, Austria and Switzerland (DACH region), this individual will partner with our dedicated investment and strategy teams across both private and public markets to manage, enhance and develop client relationships. The Insurance Asset Management team provides innovative solutions for life, health, property and casualty and reinsurance companies. In addition, the Insurance Asset Management team collaborates with clients on topics, including asset allocation, risk budgeting and asset / liability management. Globally focused, our Insurance Asset Management team manages general account insurance assets for clients across Europe, North America, Bermuda, Asia and the Middle East. Are you a motivated, quick-thinking, collaborative individual with a passion for asset management, looking for the ...
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                          Was ist das Durchschnittsgehalt für Manager/ess Liquidity Risk?

                          Durchschnittsgehalt pro Jahr
                          70.000 €

                          Das Durchschnittsgehalt für Manager/ess Liquidity Risk liegt bei 70.000 €. Gehälter für Manager/ess Liquidity Risk liegen im Bereich zwischen 60.200 € und 81.100 €.

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                          Wie viele offene Stellenangebote gibt es für Manager/ess Liquidity Risk Jobs?
                          Aktuell gibt es auf StepStone 14 offene Stellenanzeigen für Manager/ess Liquidity Risk Jobs.

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                          Wer nach Manager/ess Liquidity Risk Jobs sucht, sucht häufig auch nach: Banking, Financial Controller, Kreditrisiko.

                          Wie viele offene Teilzeit-Stellen gibt es für Manager/ess Liquidity Risk Jobs?
                          Für Manager/ess Liquidity Risk Jobs gibt es aktuell 0 offene Teilzeitstellen.

                          Welche Orte sind besonders beliebt für Manager/ess Liquidity Risk Jobs?
                          Beliebte Orte für Manager/ess Liquidity Risk Jobs sind: Hamburg, Ratingen, Marktredwitz.

                          Zu welcher Branche gehören Manager/ess Liquidity Risk Jobs?
                          Manager/ess Liquidity Risk Jobs werden allgemein der Kategorie Finanzen zugeordnet.

                          Welche Fähigkeiten braucht man für Manager/ess Liquidity Risk Jobs?
                          Für einen Manager/ess Liquidity Risk Job sind folgende Fähigkeiten von Vorteil: Montagearbeiten, Arbeit in Schichten, Installationen, Reparatur, Servicearbeiten.