Market Risk Reporting Manager recruitment

Group Risk is an independent function responsible for ensuring there is an appropriate risk governance framework on a Group wide and divisional basis, and that day-to-day risks are managed effectively within this framework. The management of risk is a fundamental activity which underpins the Group's reputation, performance and future success. Our specialist teams are; Credit Risk, Market and Insurance Risk, Regulatory and Operational Risk, and Risk Infrastructure and Analytics.     

Market Risk identifies, measures, monitors, analyses and reports the market risk generated by the various businesses on an independent, timely and consistent basis. This allows the alignment of the market risk taken with the risk appetite articulated by the Executive Risk Forum.    

As Market Risk Reporting Manager, you'll support the Market Risk Reporting Analytics manager to ensure that the risk capture, calculation, analysis and reporting and controls are in place to facilitate the functioning and the high standards of the Group market risk reporting framework.    

To be successful as Market Risk Reporting Manager, you'll have experience of risk reporting and advanced knowledge of VaR. Additionally, you'll have strong VBA skills.

In return, we offer an excellent employee salary and 30% cash and benefit funding programme which can be tailored to suit your individual needs. In addition to financial benefits, we offer a wide selection of exclusive lifestyle offers, development and learning programmes, services and support designed to help you manage and balance your own work-life priorities.

Please note as part of our referencing process credit checks will be undertaken.