Probability & Partners is looking for a medior risk management consultant. As a medior consultant, you will work on various assignments for our clients in the financial sector, including pension funds, insurers, banks, and asset managers. The assignments focus on financial and non-financial risks, internal control, and process improvement or support. Assignments may vary in content and lead time, ranging from several months to longer periods.
During the assignments, you will conduct interviews and assess documentation to gain insights into the client's risk management setup. You will search for best practices relevant to the client's situation and collaborate with colleagues to leverage their experiences. Based on the collected information, you will prepare advice for the client, which may include presentations and/or written reports. The advice will be pragmatic, concise, and directly applicable.
We are looking for a colleague with an affinity for the financial sector, (non-)financial risk management, process management, ESG, and/or IT risk. To meet the growing demand for this expertise and maintain the high quality of our services, we are eager to expand our team with enthusiastic and ambitious individuals.
Profile- Analytical and critical;
- Solution-oriented;
- Hands-on mentality, go-getter, and result-oriented;
- Eager to learn and tackle new substantive issues;
- Able to distinguish between main and side issues;
- Strong written and oral communication skills;
- Able to work independently and in a team.
- 2-5 years of work experience in risk management at a financial institution or consulting.
- Affinity with business administration, business operations, process management, internal control, asset management, ESG, and/or risk management is an advantage.
- Experience with multiple types of financial firms, especially pension funds and asset managers.
- Learning opportunities in internal control and risk management.
- Exposure to various processes within different types of financial institutions.
- Collaboration with experienced colleagues.
- Encouragement for additional studies, education, and training.
- Supportive and motivated colleagues.
- Focus on delivering quality.
- Healthy work-life balance, with no excessive work weeks.
- Flexible contract forms to accommodate other interests.
- Bi-monthly informal activities.
- Semi-annual performance and salary reviews.
- Above-market starting salary, tailored to individual experience.
- Opportunity to compensate extra hours with time off.
- Year-end bonus, holiday allowance, and travel compensation.
- Training opportunities.
We are a consultancy firm specialized in risk management, founded in 2014. Probability currently employs around 25 people, with offices in Amsterdam and Gouda. We support a diverse range of clients in the financial sector, including banks, insurers, pension funds, asset managers, supervisors, FinTech firms, and family offices. Our holistic approach to risk management combines hands-on experience with academic knowledge.
Our philosophy is:- We believe in an integrated approach: risks never occur in isolation.
- We embrace complex problems without straightforward solutions.
- We think outside the box through our unique mix of skills.
- We act in the best interest of the client and dare to challenge.
- We understand the context to ensure our solutions fit.
- We provide solutions that can be sustained independently.
We are happy to discuss further with you. Don’t hesitate to contact us:
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