Regulatory and Risk Reporting AVP recruitment
This is an exciting opportunity within the most profitable area within a top tier Investment Bank, based in London. This is an opportunity to get excellent exposure accross a number of different business areas and exposure to senior management.
The main responsibilities of this role include:
- Credit Risk Calculations
- Counterparty Credit Risk (OTC SFT)
- Specific General Market Risk calculations
- Internal External Large exposures
This is a challenging role with exposure to varied products and a Global business. It presents significant development opportunities and close managerial support, guidance and training will be given.
The ideal candidate will have worked in financial control/Regulatory reporting for a minimum of 3 years, have delivered a number of specific regulatory projects and have an understanding of the banking regulatory framework.
This is a fantastic opportunity for an individual with a finance background to broaden their experience and gain exposure to a variety of new products and projects.