Risk & Regulatory Reporting Specialist

Volkswagen Financial Services
Lisbon (PT)
to be defined
14 Oct 2021
28 Oct 2021
Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time

Sobre a vaga

In this role you will be responsible for:


1. HQ Reporting:

  • Solvency Report (COREP - CORE)
  • Liquidity Ratio
  • Million Loan Report
  • Residual value risk reporting
  • PD monitoring


2. Operational Risk:

  • Report the identified incidents to HQ
  • Perform and present the annual assessment
  • Give training to relevant employees


3. SLA Monitoring:

  • Collect information from internal departments
  • Aggregate and present to management the SLA monitoring


4. Annual Collateral validation


5. Residual Value Risk:

  • Calculate and analyze residual value risk provisions
  • Report residual value risk
  • Define residual value strategy


We believe that the right profile for this job should have:

  • University degree in Business Administration, Math or a comparable degree;
  • Experience in Risk Management (min. 3 years), preferably developed on a captive;
  • Previous experience in Risk Management projects on a Big Four is also an addedd value;
  • Knowledge of the portuguese automobile and banking sector;
  • Native Portuguese, proficiency in English.
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