Global Risk Management Specialist — German Financial Services
Global Risk Management Specialist — German Financial Services
🏢 ABOUT THE COMPANY
TD Bank, America's Most Convenient Bank, is one of the 10 largest banks in the United States. Founded in 1852, we have grown to become a leading provider of financial services to millions of customers across the United States. With over 1,000 branches and 2,500 financial centers, we offer a wide range of financial products and services including deposit accounts, credit cards, mortgages, personal loans and more. Our mission is to serve the financial needs of our customers by providing a convenient, easy-to-use banking experience, while consistently delivering outstanding value for our customers and shareholders.
🎯 ROLE OVERVIEW
As a Global Risk Management Specialist, you will be responsible for providing risk management support to the German financial services team. You will work closely with cross-functional teams to identify and mitigate potential risks, develop and implement risk management strategies, and ensure compliance with regulatory requirements. You will also collaborate with internal stakeholders to provide risk advice and guidance on complex issues. As a key member of the team, you will have a significant impact on the bank's overall risk management strategy and will play a critical role in ensuring the bank's continued growth and success.
📋 KEY RESPONSIBILITIES
Provide risk management support to the German financial services team, including identifying and mitigating potential risks, developing and implementing risk management strategies, and ensuring compliance with regulatory requirements.
Collaborate with internal stakeholders, including business leaders, risk managers, and compliance professionals, to provide risk advice and guidance on complex issues.
Develop and implement risk management policies, procedures, and training programs to ensure that all employees understand their risk management responsibilities.
Conduct regular risk assessments and audits to identify areas for improvement and ensure compliance with regulatory requirements.
Develop and maintain relationships with key stakeholders, including regulators, auditors, and other external partners.
Work closely with the risk management team to ensure that all risk management activities are aligned with the bank's overall risk management strategy.
Identify and implement cost-saving initiatives to reduce risk management costs.
Stay up-to-date with changing regulatory requirements and implement policies and procedures to ensure compliance.
✅ REQUIRED QUALIFICATIONS
Bachelor's degree in Finance, Business, or related field.
5+ years of experience in risk management, compliance, or a related field.
Proven experience in risk management, including risk assessments, auditing, and compliance.
Strong knowledge of regulatory requirements, including Basel III and Solvency II.
Excellent communication and interpersonal skills, with the ability to work effectively with cross-functional teams.
Ability to analyze complex data and develop effective risk management strategies.
⭐ PREFERRED QUALIFICATIONS
Master's degree in Finance, Business, or related field.
Certification in risk management, such as Certified Risk Manager (CRM) or Certified Financial Risk Manager (CFRM).
Experience working in a financial institution, including banks, insurance companies, or asset managers.
Strong knowledge of financial markets and instruments, including derivatives, equities, and fixed income.
Proven track record of success in risk management, including cost savings and process improvements.
💰 WHAT WE OFFER
We offer a competitive salary range of EUR 50,000 - EUR 80,000 per year, depending on experience.
We provide a comprehensive benefits package, including health insurance, retirement plan, and vacation days.
We offer a generous learning and development budget to support your ongoing professional development.
We have a flexible remote work policy, with the option to work from home or in the office.
We are committed to creating a positive and inclusive work environment, with opportunities for growth and development.
We offer a competitive salary range of EUR 50,000 - EUR 80,000 per year, depending on experience.
👥 ABOUT THE TEAM
We are a team of experienced risk management professionals, with a proven track record of success in identifying and mitigating potential risks.
We work closely together to provide risk management support to the German financial services team, including identifying and mitigating potential risks, developing and implementing risk management strategies, and ensuring compliance with regulatory requirements.
We are a collaborative and inclusive team, with a strong focus on communication and teamwork.
📨 HOW TO APPLY
To apply for this role, please submit your resume and a cover letter outlining your relevant experience and qualifications.
We expect to schedule interviews with selected candidates within 2-3 weeks of receiving applications.
📋 Job Details
| Job Type | 🌐 Remote |
| Location | Düsseldorf, DE |
| Address | Moltkestraße 21, 40223 |
| Salary | EUR 50,000 – 80,000 / year |
| Industry | General |
| Company | TD Bank |
| Valid Until | 2026-09-14 |
📨 How to Apply
Submit your updated CV and a brief cover letter to TD Bank. Applications are reviewed on a rolling basis. Only shortlisted candidates will be contacted within 2 weeks of applying.