Credit Risk – VP recruitment

Working alongside the rest of the team, you will be responsible for design, maintenance and communication of risk control parameters across Capital Markets, which includes policies, control standards, risk exposure limits etc.  You will also ensure that risk identification, measurement, reporting and modelling capabilities are objective, consistent and compliant with applicable regulations.

You will be expected to rebalance risks or controls in response to internal and external factors.  In addition, you will manage risk exposures in the client’s trading portfolios and identify deteriorating credits. 

We are seeking a tertiary-qualified candidate with significant experience in a risk management role with a leading financial institution.  You will have a successful track record in risk management in geographically dispersed and highly varied client segments and asset classes.