Responsibilities:
• Develop, enhance and monitor the bank’s risk adjusted return metrics
• Coordinate with key stakeholders as well as work closely and maintain an active dialogue with business line managers in order to understand strategy and goals
• Understand financial and growth objectives and monitor progress vs. budget, Work with analytics team to create stress testing scenarios
• Contribute the roll out of enhanced risk metrics, return on risk weighted assets and return on economic capital
• Implement Risk Adjusted Performance Management Project (FERMAT : RAPM), Monitor exposure, costs, capital allocation and returns