Field of activity The main activities with regard to the Recovery and Resolution Plans of Clearstream are the preparation, maintenance and reporting of all relevant aspects related to these plans. A further objective is to operationalise the plans to the extent possible. This includes to test their operational effectiveness by the means of exercising the plans together with relevant stakeholders, e.g. Executive Management. In order to fulfil these tasks it is necessary to align the corresponding effort with several units within Clearstream Group such as Risk Management, Credit, Treasury, Controlling and Financial Accounting. Tasks/responsibilities You will support in the development and ongoing maintenance of recovery and wind-down & restructuring plans to ensure regulatory compliance with BRRD and CSDR You will assist the coordination and collection of information from key stakeholders to update recovery plan figures You willl gain interesting insights in the preparation and enhancement of playbooks for the recovery, restructuring and wind-down plans You will keep abreast of changes in regulations and industry best practices Qualifications/required skills You are enrolled in an academic programme recognised by the state, preferably in Management/Economics/Business Administration. You are interested in financial market infrastructure, processes optimization and operational risk and you have good knowledge of the current regulatory environment with regard to RRP You have analytical skills, creativity, critical thinking and the ability to identify problems and propose solutions You are a team player with excellent communication skills You have advanced knowledge of MS Office You are profficient in written and spoken English, preferably also German Start date: 01/07/2021