Enterprise Risk Management-Risk Analyst-New York recruitment

THIS IS NOT A TRADING DESK OPERATIONS/BACK OFFICE ROLE.

This position is focused on the range of risk management issues facing the Bank and is a Key Contributor to the "Run The Bank" requirements. Risk Management has a broad mandate including traditional credit risk,  sovereign risk, operational, reputation, regulatory and liquidity risk.

The Candidate will assess the risk management infrastructure and make recommendations on improving processes related to the firms current and future business. This will include business continuity, planning/crisis management, as well as supporting risk management relating to credit, sovereign, liquidity and operational risk. Candidate should have 2-3 years of experience working in operational/enterprise risk with an FX/Currency trading firm and have deep knowledge of the life cycle of an FX trade,ie. Swift Payments, Trade Settlements and Treasury Risk.

THIS IS NOT A TRADING DESK OPERATIONS/BACK OFFICE ROLE.

This is for someone with 2-3 years of experience working in risk management with specific experience working on the operational risk infrastructure for a large FX trading bank or firm.

Refer to Job#18561-EFC and email MS Word attached resume to Jim Geiger, jeg@analyticrecruiting.com.