Model Risk Specialist Portfolio Management & Frameworks
As a Model Risk Specialist Portfolio Management & Frameworks, the work centres on you combine deep quantitative expertise with a strategic mindset, and you are energised by translating complex risk frameworks into scalable, data-driven solutions that create meas. It would suit someone who can bring careful technical judgement and practical problem-solving to the role.
Where ownership sits
Models are at the heart of how ING makes decisions, across Credit, Market, KYC, Operational, Pricing, and beyond. A hands-on, analytically driven Model Risk Specialist to join our Model Risk Portfolio Management & Frameworks team.
What the role carries
You combine deep quantitative expertise with a strategic mindset, and you are energised by translating complex risk frameworks into scalable, data-driven solutions that create meas. Specific tasks and responsibilities. Execute the Model Risk Management Framework end-to-end: ensuring models across all domains and locations are consistently identified, classified, monitored, and assessed against a.
What the role depends on
- They are a powerful asset, and managing the uncertainties and risks that come with their use is essential to ensuring that model output leads to the right decisions and that models.
Practical details
- Level risk management: moving from reactive, model-by-model oversight to structured portfolio reviews, forward-looking risk indicators, and prioritisation decisions driven by agree.
- Turn governance into practice: shape.
- Be the expert: serve as the primary advisor on the MoRM Framework, keeping it aligned with ING governance, internal risk frameworks, and regulatory developments including the EU AI.
- Drive accountability: influence and challenge senior stakeholders to take genuine ownership of model risk in the 1st line, leading framework changes and cross-organisational initia.
Job details
- Benefits mentioned: Pension, Holiday allowance, Training, Hybrid working
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