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Model Validation Financial Risk (Pricing and Valuation) – Senior Specialist



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ING Hubs Poland is hiring!

The expected salary for this position: 10 000 - 18 000 PLN

The financial ranges specified in the announcement are adjusted and may differ from the range specified in the remuneration regulations.

At ING we value and support our employees before recruiting external talent. If you think this vacancy is the right next step in your ING career, we’d encourage you to apply. Should you have questions about the vacancy or need to hear more before you feel you can apply. Please do not hesitate to reach out to the responsible recruiter.

We are looking for you, if you have:

  • quantitative background, (MSc or PhD degree) in e.g. Econometrics, Quantitative Finance, Mathematics, Statistics, or Physics,
  • experience (3+ years) in financial risk modelling, model validation, and/or model risk management within banking and/or trading domains  (1st & 2nd line of defense),
  • knowledge of financial engineering, statistics, mathematics, econometrics, and/or probability,
  • knowledge of pricing models, market risk models (e.g. VaR, sVaR, Expected Shortfall, FRTB) and/ or counterparty credit risk (e.g. SIMM, CVA, PFE calculation),
  • attention to detail and commitment to delivering high-quality work,
  • effective communication and stakeholder management skills,
  • ability to manage multiple priorities in a fast-changing environment,
  • continuous improvement mindset and openness to innovation.

Your responsibilities:

  • conduct timely, high-quality model validations in line with external regulations, internal policies, and model validation frameworks,
  • assist the team’s seniors to challenge 1st MLoD on their level of model risk,
  • contribute to preparing validation reports and present findings to committees and stakeholders, ensuring transparency and clarity,
  • participate in thematic reviews and provide expert advice to internal stakeholders on model risk issues,
  • support the development and implementation of innovative validation frameworks and contribute to automation initiatives,
  • collaborate with colleagues across chapters and locations to ensure consistency and share best practices,
  • support in maintaining constructive relationships with internal teams (Model Development, Risk Management, Audit) and external parties (regulators, auditors),
  • contribute to continuous improvement by suggesting enhancements to validation processes and frameworks.

Information about the team:

As a Model Validator within the Model Validation Financial Risk (MVFR) team, you play a crucial role in safeguarding ING’s financial stability by ensuring that models used for banking and trading book risks are robust, compliant, and fit for purpose. You will work alongside high-value specialists in a dynamic, global environment, facing evolving regulatory requirements and strategic challenges.

Risk Hub Warsaw was created as a part of central risk team currently located in Amsterdam. We are responsible for validating market risk, counterparty credit risk, algorithmic trading, pricing and valuation models for trading books used by ING Group worldwide. Our core mandate is to address whether a particular model is fit for its designated purpose, based on mathematical assumptions, appropriate business contexts, academic theories, and empirical evidence, and is properly adherent to regulations, best practices, and the latest technological innovations.

The role naming convention in the global ING job architecture will be "Model Validator III".

The financial ranges specified in the announcement are adjusted and may differ from the range specified in the remuneration regulations.

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