The role creation is subject to the Works Council positive advice and implementation of the new structure resulted as a consequence of Risk RfA on 1 April 2026.
The team
Manages global execution of the second line risk role for INGs Trading (Market) Risk. Runs the global TRM function sets and manages Trading Risk appetite for the bank and is Model Owner for Trading Risk and Valuation Risk models ensuring regulatory compliance for INGs Trading Books.
Specific Function
Contribution: Oversees global risk management of INGs trading risks sets risk appetite manages regulatory requirements and ensures strategic alignment with commercial priorities.
Needs/Challenges: Maintains strong relationships with Counterparty Risk Finance Financial Markets and Model Value Chain. Requires holistic strategy and direction that aligns with multiple stakeholders.
Impact: Directly influences INGs trading risk management regulatory compliance and strategic direction.
Role and responsibilities
Main Responsibilities:
Manage the global TRM function including strategy communication and HR matters.
Set and manage risk appetite for Trading Risk.
Oversee regulatory requirements and interact with ECB and regulatory change programs.
Manage INGs commercial and strategic priorities including non-regulatory change programs.
Represent Financial Risk and Trading Risk Management in various stakeholder groups and committees.
Specific Tasks and Responsibilities
Manage global TRM function (strategy communication HR matters)
Set and manage risk appetite for Trading Risk
Oversee regulatory requirements and interact with ECB
Manage commercial and strategic priorities
Represent FR and TRM in stakeholder groups and committees
How to succeed
We hire smart people like you for your potential. Our biggest expectation is that youll stay curious. Keep learning. Take on return well back you to develop into an even more awesome version of yourself.
Education: Relevant numerate or financial degree at secondary or higher level.
Experience: 20 years of relevant financial industry experience especially in Financial & Capital Markets business lines; strong leadership qualities; ability to drive change and communicate at MBB level committees.
Technical/Professional Knowledge: Deep understanding of trading risk management regulatory requirements and financial markets.
Soft Skills: Leadership stakeholder management strategic vision change management and communication at senior levels.
Reporting Line and Classification
Role Name and GJA: Head of Financial Risk Management III (GJA23) - Head of Trading Risk Management
Reports Hierarchically to Head of Financial Risk (MBB-1) located in Amsterdam
Questions
In case you have any questions please contact Anna Halliwell (HR Business Partner). Want to apply directly Please upload your CV and motivation letter by clicking the Apply button.
An Enhanced Reliability Screening and positive clearance is required for appointment to this sensitive position
Required Experience:
Director
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