Medior Risk Management Consultant (Non Financial Risk)
Amsterdam, Noord-Holland, Netherlands
€ 60.000 - 80.000
Medior Risk Management Consultant (non-financial risk) Medior Risk Management Consultant (non-financial risk)
32-40 hours
2-5 years
HBO/WO in the field of business administration, (business)economics, organizational science and/or process management.
Probability & Partners is looking for a medior risk management consultant. As a medior consultant you work on various assignments for our clients in the financial sector. Our clients are pension funds, insurers, banks and asset managers. The assignments you work on are aimed at financial and non-financial risks, internal control and process improvement or support. Assignments vary in content, depending on the needs of the client. Assignments have a lead time of several months, but can also run for a longer period.
During the assignments there are various activities that you will do. For example, you hold interviews and assess documentation to gain insight into how the customer has set up risk management. You search for best practices that are relevant to the customer’s situation and discuss with your colleagues at Probability what they have already seen at other organizations. Based on the collected information, you draw up an advice for the customer. This can be a presentation and/or a written report. At Probability, we usually keep that as pragmatic as possible. To the point and directly applicable by or for the customer. The topics on which you give advice can also differ per assignment. One time you assess internal control measures, the other time you analyze investment results. We are also asked to assess the entire risk framework and indicate where the client can make further improvements. And you regularly help the customer with risk assessment, which we always tailor in terms of approach to the specific customer.
We are looking for a colleague with an affinity for the financial sector, (non-)financial risk management, process management, ESG and/or IT risk. In order to continue meeting the growing demand for this expertise and experience and thus maintain the high quality of our services, we are happy to expand our team with enthusiastic and ambitious people.
Profile Analytical and critical;
Solution-oriented;
Hands-on mentality, go-getter and result-oriented;
Eager to learn and take on new substantive issues;
Being able to distinguish between main and side issues;
Strong written and oral communication skills;
Able to work independently and in a team.
Experience 2-5 years of work experience in risk management at a financial institution or consulting.
Knowledge Affinity with business administration, business operations, process management, internal control, asset management, ESG/or and risk management is an advantage.
Our offer Experiencing multiple types of financial firms, in any case pension funds and asset managers.
Learning about internal control and risk management.
Experiencing many processes within different types of financial institutions, in any case those at pension funds.
Working with experienced and highly experienced colleagues.
Encouragement of following additional studies, educations and trainings.
Intrinsically motivated and helpful colleagues.
Focused on delivering quality.
Healthy work-life balance, no excessive work weeks.
Flexible contract forms to help pursue other interests.
Bi-monthly informal activities.
Semi-annual review of performance and wage.
Above market starting wage, tailored to individual level.
Ability to compensate extra hours with time off.
Year-end bonus, holiday allowance, and travel compensation.
Training opportunities.
About us We are a consultancy firm specialized in risk management, founded in 2014. Probability currently employs around 25 people. Our offices are located in Amsterdam and Gouda. With our services, we support a wide variety of clients in the financial sector. For example, we work for banks, insurers, pension funds, asset managers, supervisors, FinTech and family offices. We help our clients manage their risks. In doing so, we use a holistic approach to risk management, and a unique combination of hands-on experience in the field and academic knowledge.
Our philosophy is: We believe in an integrated approach: risks never occur in isolation.
We like problems which do not have a straightforwarded solution.
We think outside the box thanks to our unique mix of skills.
We act in the best interest of the client. We dare to challenge.
We understand the context to ensure our solution fits.
We provide a solution which can be continued without our help.
Interested? We are happy to talk further with you. Don’t hesitate to contact us:
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