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Banking Regulatory Risk Manager

3 months ago


Stockholm, Sweden Nordea Bank Full time

Job ID: 24866 


Are you an experienced Regulatory Risk Manager with a background in ensuring that organizations adheres to all relevant regulations, and guidelines that governs the banking industry? Do you also have strong skills in leadership, communication, project management, stakeholder management and the ability to effectively complexity? Then you might be our new colleague in the BCCM Risk Reduction Plan.

At Nordea, we see that the world is changing fast – and we want to be one step ahead of the curve. That’s why we’re deeply committed to providing the financial solutions of tomorrow to our customers. We’re creating an agile environment where we experiment and grow together – and we need your ideas and unique background. With us, you’ll be in good company with a chance to make your mark on something bigger. 


About this opportunity

You will join BCCM Risk Reduction Plan, which is a team located within the largest business area in Nordea: Group Business Support (GBS). GBS drives optimisation of our operational efficiencies, letting the other Business Areas focus on what they do best, to serve our customers and drive income growth initiatives. 


As a Banking Regulatory Risk Manager, you will step into a central and critical role, leading the DORA Crisis Management and Business Continuity project independently in close collaboration with the Risk Reduction Plans teams and other relevant stakeholders. This is where your expertise is needed to contribute with a solid and strategic risk management and regulatory perspective, which will directly impact on the financial performance, efficiency, competitiveness and overall success of Nordea.


The role is based in Stockholm.


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:

Proficient in non-financial Risk Management, regulation, and guidelines in the banking sector Subject matter expertise in relation to the DORA regulation and RTS.  Expertise in liaising with regulatory bodies, internal and external auditors, as well as representing the bank in regulatory matters, preparation and submission of regulatory reports Mitigating risks associated with regulatory non-compliance, including measuring future level of compliance, ensuring quality assurance, and other requirements turning these into actionable plans and tasks. Develop and update compliance policies and procedures and ensure these are effectively communicated and implemented across the organization.  Have superior communication skills, and expertise in managing a large variety of stakeholders Demonstrated success in leading business risk reduction projects, navigating through complexity and ensuring timely and precise delivery Are self-motivated with the ability to drive assignments independently, accurately, with strong delivery and end-to-end service focus in mind Capable of translating gaps, audit findings, and other requirements into actionable tasks for the teams in the Risk Reduction Program and other relevant stakeholders. Have a strong risk and compliance mindset, coupled with a proactive approach in communicating clear and qualified requests to stakeholders


Your experience and background: 

Experience from leading non-financial risk projects, regulatory implementations in the financial sector or in another heavily regulated industry and ensuring timely and precise delivery Experience from working in a “three lines of defense risk and control environment” and knowledge of working with audit/assurance functions is a must (e.g. Group Internal Audit or 2nd Line of Defense)  Familiarity with business continuity and crisis management is considered advantageous Proficiency in navigating through complexity, managing different kinds of stakeholder and strong communication skills Are self-motivated with the ability to drive assignments independently, accurately, with strong delivery and end-to-end service focus in mind Expertise in liaising with regulatory bodies, internal and external auditors Representing the bank in regulatory matters, including preparation and submission of regulatory reports A bachelor’s degree in finance, accounting, business administration, or a related field. A master’s degree or relevant certifications (e.g., Certified Regulatory Compliance Manager (CRCM), Chartered Financial Analyst (CFA), Certified Risk Management Professional (CRMP)) can be advantageous.

If this sounds like you, get in touch