Climate and Esg Risk Specialist (Methodology)
At Postbank, we understand the pressing social and environmental challenges affecting our business. Environmental pollution and climate change impact all businesses, communities, and households. We recognize our role in building a sustainable future by aligning our business interests and strategies with broader societal objectives, aiming to positively impact our environment and community. We believe in applying responsible business and governance practices and directing capital flows toward positive and measurable results.
The Climate and ESG Risk Department identifies, assesses, and manages risks related to climate change and Environmental, Social, and Governance (ESG) factors. This department ensures that the bank's operations and investments are sustainable and aligned with regulatory requirements and expectations.
Main Duties and Responsibilities:
Risk Definition and Alignment:
-Contribute to defining ESG and climate risks and drivers/channels in alignment with existing risk categories.
-Assist in the implementation, regular monitoring, and updating of the bank’s Sustainable Finance Framework.
Framework Development and Monitoring:
-Assist in the regular monitoring of the implementation of ESG and climate risk frameworks, policies, and processes.
-Support the development of methodology frameworks and provide guidance for establishing ESG and climate risk propensity frameworks and Key Risk Indicators (KRIs).
Disclosures and Reporting:
-Assist in developing ESG and climate risk-related disclosures in collaboration with business units, finance, and ESG departments.
-Ensure compliance with regulatory developments and industry trends related to ESG risk management.
Tool Development:
-Support the development of tools for assessing and analyzing ESG and climate risks.
-Help establish and implement ESG and climate risk monitoring and reporting mechanisms.
Communication and Collaboration:
-Maintain communication with Group Sustainability Risk.
-Collaborate with various departments to ensure alignment with best practices and industry standards.
Qualifications:
-Bachelor’s degree in Finance, Risk Management, Compliance, Economics or a related field.
-Experience in the Financial sector.
-Understanding of regulatory requirements and standards related to risk management, ESG, and climate risks.
-Strong analytical, communication, and project management skills.
-Ability to work collaboratively with cross-functional teams.
Postbank is a Top Employer that provides:
-Competitive salary
-Annual performance bonus
-25 days annual leave
-Paid day off for your birthday
-Medical insurance
-Life insurance
-Preferences on banking products and services
-Corporate discounts
If you are interested in our proposition, please send us your CV in English. A motivation letter will be considered a plus.
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