Our client is a leading international consultancy firm focused on Treasury Management, Risk Management and Corporate Finance. Their vision is to extend our position within Financial Risk Management in the Netherlands to thought leadership in Europe, providing independent, specialized advisory services to financial institutions.
About The Company
The company employs over 130 people who operate from offices in the Netherlands, Belgium, United Kingdom and Switzerland. The company has a diversified client portfolio consisting of multinationals, financial institutions, public sector entities and NGOs. They encourage employees to share their ideas and to remain at the forefront of innovative services and solutions via training opportunities and further education.
We offer the possibility to specialize and develop professionally, taking on personal responsibility for client projects from an early stage. The company culture is transparent and thrives on the open exchange of ideas and knowledge between our consultants from various departments.
About The Role
We are recruiting for an experienced Financial Risk Manager with the ambition to develop new business while utilizing the company's resources and experience This unique role therefore offers entrepreneurship, space to realize market opportunities, freedom to grow and manage your own team, coach talented young professionals and contribute to the content development of our FRM services.
- Network of clients and contacts within financial institutions (UK/EU)
- Pro-active and entrepreneurial spirit with experience in business development, project management and FRM knowledge surrounding quantitative Credit/Market Risk, ALM, Liquidity Management and financial legislations
- Fluency in business level English, open to travel within the UK and the rest of Europe
- Relevant Quantitative Master study, preferably professional qualifications (FRM, PRM, CFA)