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Key Position Details

Industry: Banking

Profession: Banking & Financial Services > Risk Management

Position type: Permanent, Full-time

Work location: Melbourne VIC 3000

Country: Australia

Salary Information

Base pay salary: Undisclosed

Hiring Process Details

  1. 04.03.2010
  2. Accepting Applicants


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National Australia Bank

Manager BII Reporting - Analysis

About The Position

    • Inspire and make a difference
    • Significant future career prospects
    • Attractive remuneration package plus benefits

    At NAB, it’s all about our people reaching their full potential. And that means we drive the sustainable success of our business.

    NAB is experiencing exciting times under the guidance of a robust management team and numerous new initiatives. Under a dynamic leadership structure and with a real focus on its people and their careers, the bank continues to attract high achievers and is extremely well positioned.

    In this role, you will be responsible for the development and coordination of reporting on complex analysis of capital adequacy information, including risk weighted asset data.  This includes explaining trends, movements and interconnection of metrics; based on knowledge of different risk types, model factors, regional nuances and the lending portfolio; for all Basel II categories and key industry segments..

    To be successful in this role, you will be tertiary qualified and have prior experience in a financial/risk management discipline and ideally have sound credit risk experience. Your ability to work with key stakeholders at various levels and strong written and oral communication skills will be key selection criteria.