Senior Business Risk Manager in Nordea Kredit / Risk & Portfolio Management
København S, DK, 2300
Job ID: 27145
Would you like to further develop our risk management, with focus on credit– and operational risk in Nordea Kredit? We are looking for a Senior Business Risk Manager to be part of our Risk & Portfolio Management team.
About this opportunity
In the position as the Senior Business Manager, you'll add value by driving risk management in Nordea Kredit together with a team of 10 colleagues, with a focus on focusing on credit- and operational risk. The position requires you to co-operate with colleagues across units in Nordea Bank and Nordea Kredit.
You’ll be joining Nordea Kredit, the third largest mortgage credit institute measured on market share in Denmark. Nordea Kredit has issued bonds worth approx. DKK 400bn. Nordea Kredit is a Danish SIFI institute, which makes this position very exiting in terms of responsibilities to fulfil both external and internal requirements by the Danish Financial Supervisory Authority and the European Central Bank.
What you will be doing:
Your role will be to prudently manage Nordea Kredit risks, especially credit- and operational risks, to secure that Nordea Kredit continues to be a safe and trusted partner for our customers. This includes:
- The job will bring you a wide range of task, responsibilities and stakeholders, this includes:
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Be responsible for a variety of risks, especially credit- and operational risks, in 1st Line of defence
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Be one of the main contacts for our lending teams to ensure collaboration as well as proper and accurate documentation for our processes
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Drive the Nordea Kredit Risk Forum and the yearly Risk Wheel to ensure that risk areas are covered
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Coaching the Nordea Kredit organisation to ensure continuously strong risk management, this includes support to leaders
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Who you are
Collaboration. Ownership. Passion. Courage. These are the values that guide us in being at our best- and that we imagine you share with us.
To succeed in this role, we believe that you:
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Are structured in your way of working and have a willingness to learn
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Have solid stakeholder management skills to secure great collaboration across different teams in Nordea and Nordea Kredit
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Have courage to make conclusions based on your professional judgement and data
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Have an understanding of Danish bond market in general
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Understand that documentation is key to succeed
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Enjoy working in a regulated, complex and changing environment
Your experience and background:
- We expect that you are eager to grow and learn within the role. Further, experience within risk management is an advantage. Nevertheless, you have experience with stakeholder management to succeed as a main contact for other units in Nordea
- Highly collaborative with the ability to influence and motivate across functional areas and different levels of the organisation
- Proven track-record of achieving positive outcomes, demonstrating collaboration, ownership, passion and courage
If this sounds like you, get in touch!
Next steps
Submit your application no later than 16/12/2024. Interviews will be on-going. For more information, you're welcome to contact Head of Risk Management & Portfolio Charlotte Ekholm phone +4540994000, e-mail charlotte.ekholm@nordea.com.
At Nordea, we know that an inclusive workplace is a sustainable workplace. We deeply believe that our diverse backgrounds, experiences and characteristics make us better at serving customers and communities. So please come as you are.