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Senior Manager, Third Party Risk Global Financial Services

Belvedere


Job Location:

Kraków - Poland

Monthly Salary: Not provided by the employer
Posted: 2 September 2026 (6 days ago)
Application Deadline: 30 November 2026
Vacancies: 1 Vacancy

Job Summary

Senior Manager Third Party Risk - Global Financial Services

Location: Krakow Poland
Contract Type: Contract
Salary: Competitive B2B rates

Join a globally significant financial institutions risk management function
Lead third party risk strategy across multiple international locations
Shape risk culture and influence senior stakeholders globally
Competitive B2B contract rates in Krakow
Work with cutting-edge risk frameworks and regulatory standards

Company Overview

Our client is a globally significant financial institution operating across multiple markets and jurisdictions. Their Global Resilience Risk function sits within Group Risk and Compliance providing a coherent Risk Management Framework Risk Taxonomy and tools to manage the organisations overall risk position. The organisation focuses on strengthening risk culture across all operations driving consistent risk management practices globally and empowering teams to enable safe growth whilst meeting strategic objectives. This forward-looking approach ensures the bank remains resilient whilst pursuing commercial ambitions.

They are seeking an experienced Senior Manager Third Party Risk to join their team in Krakow. This contract role offers the opportunity to work within a sophisticated risk environment providing technical expertise and guidance across a global organisation whilst contributing to the continuous improvement of third party risk management practices.

Position Overview

As Senior Manager Third Party Risk youll provide technical expertise and guidance across the organisations global operations. This role sits within the Global Resilience Risk Business & Functions team where youll support stakeholders in understanding and managing third party risk effectively. Youll monitor the external environment for emerging risks deliver tailored expertise to enable first line of defence teams to deploy mitigating controls and support regulatory and audit engagement. Your work will directly contribute to strengthening the control environment and ensuring the organisation manages third party relationships safely and in compliance with regulatory requirements.

Responsibilities

Provide technical advice globally on third party risk control environments and assessments
Support teams to explain risk issues and events in accessible non-technical terms
Monitor external environments to identify emerging third party risks and mitigation strategies
Deliver tailored expertise enabling first line teams to deploy key mitigating controls
Provide technical guidance for regulatory reporting obligations including RAS and risk profile reporting
Ensure root causes of operational risk issues and events are understood and treated
Escalate concerns regarding key controls and material change programmes related to third party risk
Support regulatory and audit engagement ensuring compliance and timely action completion
Lead training and capability development for Global Resilience Risk teams
Develop networks with key stakeholders across a complex matrix structure
Present complex technical concepts persuasively to non-technical audiences

Requirements

Proven experience in risk management at a globally significant financial institution
Understanding of third party risk impact within a global banking group and its commercial context
Strong knowledge of the relevant regulatory landscape and ability to assess regulatory rule changes
Knowledge of financial institution business models products and key risk drivers
Deep technical expertise in third party risk identification assessment monitoring control and mitigation
Ability to lead and promote strong risk control culture and improve risk awareness
Demonstrated ability to develop stakeholder networks in matrix organisations
Experience supporting multi-locational professional teams
Experience providing expert advice robust challenge and delivering risk management policies
Ability to present complex concepts clearly to diverse audiences
Team-oriented approach with ability to complete tasks independently to high standards
BA or BS University Degree (advanced degrees such as MBA MSc or PhD preferable) and/or relevant qualifications

Benefits

Competitive B2B contract rates
Opportunity to work with a globally significant financial institution
Exposure to sophisticated risk frameworks and regulatory standards
Career development through complex high-impact projects
Training and capability development opportunities

Youll work within a risk-focused environment that values expertise collaboration and continuous improvement. The organisation promotes a strong risk culture where your technical knowledge will be valued and your contributions will directly influence how third party relationships are managed across global operations.

How to Apply

To apply for this role please submit your CV using the form below or email


Required Experience:

Senior Manager