Finance Risk Manager – 9 Month Contract recruitment

As a result of a maternity absence, a high calibre candidate is sought with thorough knowledge and relevant experience in areas of regulatory and economic capital management. This role demands practical expertise in the interpretation and implementation of Basel II Accord requirements based on in-depth knowledge of credit, market and operational risk measurement techniques.

This is a role with a focus on policy development and implementation, rather than being a detailed analytical or quantitative role.

The ideal candidate will be ACA qualified with strong knowledge and experience of Credit Risk and Basel II.

Key Responsibilities:

• Reviewing and updating of the Bank’s financial policies including the economic capital policy, provisioning policy and limits management

• Assessment of the Bank’s capital adequacy requirements consistent with Basel regulatory capital guidelines

• Assessment and implementation of capital instruments

• Providing analysis required to support the Bank’s AAA credit rating

• Leading the department’s work in the development and initial implementation of a roadmap for a Bank-wide risk and capital management framework

You will be involved in close collaboration with the Risk Management Department. In particular, Finance and Risk Management are working closely to develop an improved risk and capital management framework for the Bank.

If successful in the role, you will be taken on in a Fixed Term Contract and able to access full benefits of the bank plus a completion payment.

If you have the relevant experience, please apply today or call Dee Savjani on 020 3206 1916.