Recovery and Resolution Planning Specialist (f/m/d)

Shrnutí práce
Plný úvazek
Prague
Plat: Neuvedeno
Neznámé
Dovednosti a odbornost
Generovaný obsah
Personální řízení
Dovednosti řešení problémů

Deutsche Börse Group Prague
Deutsche Börse Group Prague

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Pozice

Popis pozice

Your career at Deutsche Börse Group

 Your area of work: 

The main activities with regard to the Recovery-, Restructuring- and Wind-down-, and Resolution Plans of Clearstream are the preparation, maintenance and reporting of all relevant aspects related to these plans. A further objective is to operationalise the plans to the extent possible. This includes to test their operational effectiveness by the means of exercising the plans together with relevant stakeholders, e.g. Executive Management. In order to fulfil these tasks, it is necessary to align the corresponding effort with several units within Clearstream Group such as Risk Management, Credit, Treasury, Controlling and Financial Accounting.

 

Your responsibilities: 

  • Responsible for the development and ongoing maintenance of Recovery and Restructuring- and Wind-down Plans to ensure regulatory compliance with BRRD and CSDR

  • Coordinate and collect information from key stakeholders to update said plans

  • Prepare and enhance playbooks for the Recovery, Restructuring and Wind-down Plans

  • Prepare and perform fire drills to test the operating effectiveness of plans and playbooks

  • Keep abreast of changes in regulations and industry best practices

  • Be a point of contact for regulators, customers and other stakeholders regarding Clearstream’s recoverability and resolvability

  • Support the competent authorities in preparing their resolution plans for Clearstream Group

  • Engagement & alignment within Deutsche Börse Group

 

Your pofile: 

  • University or similar degree in a relevant field of expertise

  • At least two years of experience in risk management and/or recovery and resolution planning topics

  • Sound knowledge of relevant regulations (especially BRRD and CSDR)

  • Good understanding of financial market infrastructure activities, incl. settlement, custody and asset servicing

  • Excellent analytical skills, creativity, critical thinking, ability to identify challenges and propose solutions

  • Fluency in English (German would be an advantage)

 

Additionally, you need to be a team player with strong communication and soft skills, highly motivated, and with excellent command of MS office applications. 

 

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