Market Risk Manager – Regulatory and Capital Reporting recruitment
THE COMPANY:
- Our client is the London based Group function of a large international financial institution.
- They are looking for an experience market risk professional to join their group function to monitor, report and analyse the market risk implications of UK regulatory developments.
RESPONSIBILITIES:
- Identify, measure, monitor, analyse and report the market risk generated by the various businesses on an independent, timely and consistent basis.
- Alignment reported market risks with the groups risk appetite.
- Identify changes in regulation, both internal and external, and assess implications to all business areas.
- Develop and enhance the market risk capital framework.
- Challenge at all levels of the business from a market risk perspective while supporting the Group's strategic and commercial objectives.
EXPERIENCE REQUIRED:
- Strong market risk/liquidity experience with UK regulatory knowledge
- Exposure the Basel II/III, Pillar II/III, ICAAP and ILAA regulations are preferred
- Experience working with market risk models
- Relevant professional qualifications are desirable
May 3, 2012
• Tags: Investment Banking, M & A careers in the UK, Market Risk Manager, Regulatory and Capital Reporting recruitment • Posted in: Financial