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Salary
$57k – $150k per year (Estimated)
Location
In office (Brussels)
Employment
Full-Time
Overview
Company
Impact
Profile match
ING is a Dutch banking group formed in 1991 by the merger of the postal bank NMB Postbank and the insurer Nationale-Nederlanden, and it was among the first large banks to build a direct, branch-light retail model. It serves retail customers in the Netherlands, Belgium, Germany, Poland, Spain and several other markets through mobile-first banking, and runs a substantial wholesale bank covering lending, transaction services and financial markets for corporate clients. Headquartered in Amsterdam and listed on Euronext, the group divested its insurance operations after the financial crisis to focus on banking.

Do you want to make an impact on the future of risk modelling?

At ING Belgium, we are looking for a Model Developer to join our Credit Risk Regulatory Modelling team. In this role, you will contribute to the development, maintenance and enhancement of regulatory credit risk models that support key business and regulatory decisions.

You will work in an international environment alongside highly qualified professionals and play an important role in ensuring the robustness and accuracy of ING's credit risk framework.

Your role

As a Model Developer, you will be responsible for the development and maintenance of models used to calculate Regulatory Credit Capital under Basel regulations and Loan Loss Provisions under IFRS 9.

You will:

  • Develop, maintain and monitor credit risk models, including PD, LGD, EAD and IFRS 9 models
  • Perform quantitative analyses and translate regulatory requirements into modelling solutions
  • Support the implementation and validation of models throughout their lifecycle
  • Prepare high-quality analyses and reports for senior management, Model Validation, Audit and regulatory authorities
  • Collaborate with a wide range of stakeholders across Risk, Finance and Business teams
  • Participate in discussions with internal and external auditors, Model Validation teams and the European Central Bank

We are looking for

  • A Master's degree or PhD in Econometrics, Mathematics, Statistics, Physics, Economics or another quantitative discipline
  • Experience in credit risk modelling, preferably within IRB and/or IFRS 9 frameworks
  • Strong analytical and problem-solving skills
  • Experience with SAS or other statistical programming languages
  • The ability to work independently while maintaining a collaborative mindset
  • Excellent communication and stakeholder management skills
  • A proactive, critical and solution-oriented attitude
  • Professional proficiency in English

What we offer

At ING, you'll have the opportunity to grow both professionally and personally in a challenging and dynamic environment.

We offer:

  • Challenging projects at the forefront of risk management and regulation
  • A collaborative and international working environment
  • Opportunities for continuous learning and development
  • An agile way of working where innovation is encouraged
  • Flexible working arrangements
  • A competitive salary package with a wide range of additional benefits

Ready to shape the future of credit risk modelling at ING? We would love to hear from you.

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