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Amsterdam
20 May 2026
Model Risk Specialist Portfolio Management & Frameworks logo

Model Risk Specialist Portfolio Management & Frameworks

ING Nederland

Amsterdam
20 May 2026
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Model Risk Specialist Portfolio Management & Frameworks

Model Risk Specialist role at ING focused on portfolio-level model risk management and framework development. Requires deep quantitative expertise and 10+ years of experience in model risk or quantitative risk management. Based in Amsterdam.

On-siteFull-timeSeniorModel Risk ManagementQuantitative Risk Management

Model Risk Specialist Portfolio Management & Frameworks

Model Risk Specialist role at ING focused on portfolio-level model risk management and framework development. Requires deep quantitative expertise and 10+ years of experience in model risk or quantitative risk management. Based in Amsterdam.

Apply
On-siteFull-timeSeniorModel Risk Management

Salary

Not specified

Work Location

Amsterdam, North Holland, Netherlands, NL

Work Model

On-site

Experience Required

10 years

Employment Type

Full-time

Experience Level

10+ years of experience

Core Qualifications

Technical (Must-have)
Model Risk ManagementQuantitative Risk ManagementCredit RiskMarket RiskKYCOperational RiskPricingGovernanceRegulatory ComplianceEU AI Act
Soft Skills
analytical thinkingstrategic mindsetinfluencingcommunicationstakeholder managementleadershipproblem solvingteamwork

Key Responsibilities

  • •Execute the Model Risk Management Framework end-to-end across all domains and locations.
  • •Develop data-driven capabilities to identify risk concentrations and emerging patterns.
  • •Own the shift to portfolio-level risk management with forward-looking indicators.
  • •Shape next-generation Model Risk tooling by defining platform requirements.
  • •Serve as primary advisor on MoRM Framework, aligned with ING governance and regulations.
  • •Influence senior stakeholders to take ownership of model risk in the 1st line.
  • •Design and deliver training programmes to apply the framework effectively.
Model RiskRisk ManagementBankingQuantitativeFrameworkGovernanceAmsterdamINGSeniorPortfolio Management
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