Market Risk Regulatory Capital Manager recruitment
- Market Risk Regulatory Capital Analysis Reporting
- Major Global Investment Bank
RESPONSIBILITIES:
- Manage Market Risk Capital plans and challenge changes to Market Risk Capital exposures
- Generate market risk capital submissions to senior management and regulators
- Providing clear guidance on market risk regulatory applications
- Manage regulatory defined market risk mitigation issues
- Ensure the bank's senior management are kept informed of key issues and possible mitigation actions
- Keep policies and procedures up to date and strictly adhered to
- Develop systems / processes to support market risk capital reporting framework
- Production of specific analysis or proofs as required by senior management, the business and regulators
ESSENTIAL EXPERIENCE:
- Strong working knowledge of market risk techniques and processes to analyse Capital exposures
- Strong knowledge of Basle II ICAP
- Technical expertise of Regulatory Capital regulations for market risk
- Able to review scenarios, deals structured transactions from a regulatory capital perspective
- Good organisation, planning and leadership skills; proven ability to work under own initiative
- Excellent interpersonal skills, including oral/written communication and influencing skills
May 7, 2012
• Tags: Market Risk Regulatory Capital Manager recruitment, Risk Management careers in the UK • Posted in: Financial