Our client is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services.About the Role:The Risk Control, Stress Testing and Capital function within Firm Risk Management is looking for a Risk Capital Vice President to join the team, based in Frankfurt, Germany.Central role in capital requirements reporting and supporting regulatory developments, capital methodology, assessment, forecasting, and impact analysis.Focus on market and CVA risk across EMEA legal entities under ECB and PRA regimes.Additional responsibilities for the Risk Capital framework in EU-based legal entities.Key Responsibilities:Strategic Stakeholder Engagement:Provide insightful commentary on capital requirements to key internal and external stakeholders.Represent the Risk Capital function in regulatory interactions, preparing materials and participating in meetings.Engage effectively with senior management and risk committees, presenting complex information clearly.Support business initiatives by analysing the regulatory capital impact of large transactions and new products.Understanding and Developing Models and Frameworks:Maintain and develop the framework for own funds requirements calculations and reporting.Own the Risk Capital framework, including process and control framework, procedures, and outsourcing.Contribute to large regulatory projects, including internal model permission applications and CRR3 implementation.Participate in ICAAP and other capital planning exercises.Support compliance self-assessment and development of internal policies.Skills Required:Strong organizational skills, ability to multitask and work under pressure.Confidence to challenge and influence others.Strong communication skills, ability to engage with stakeholders and senior management.Ability to work in a small team and collaborate with a wide network.Fluency in English; German is an advantage.Discipline(s): Risk ManagementJob type: Permanent