Economic Strategic Risk Analyst – AVP recruitment

Key responsibilities:

- Take a lead role in the production of regular products including:
- Producing a daily market report
- Weekly and monthly reports on funding and capital market activity
- Develop a detailed knowledge of the bank's portfolio, including current risk hotspots, in order to better tailor macroeconomic and financial market analysis to exposures
- Actively suggest ways to enhance regular products and to broaden our proactive monitoring toolkit
- Assist with ad hoc requests for analytical input from colleagues throughout Risk
- Closely monitor developments across key competitors

You will have:

- A strong background in macroeconomics (either via work experience or education)
- Familiarity with key banking sector developments and trends
- A good understanding of risk
- Strong drafting skills and attention to detail
- The ability to express complex ideas clearly
- Excellent interpersonal skills and the ability to interact with and relate to people at all levels
- The ability to stay calm under pressure and produce accurate results/analysis quickly

You will be:

- A highly motivated self-starter with a keen interest to learn and develop
- A confident communicator both written and verbally
- A strong team player
- An outgoing person who can build up networks across the bank