Strategic Risk Director wanted for Global Investment Company recruitment

This London based position will have further responsibilities being involved in special projects such as looking at the ‘what if’ scenario of the Eurozone defaulting, what implications this would have, what plans you would need to put together and how you would Project Manage this.

The role will be based in London with minimal travel to their European offices and you will be part of a Front Line risk team that is going through a period of continued growth. This is an opportunity that not only gives huge variety in a position and also where you will be facing off to the senior stakeholders and executives to the business.

Experience Required

• Knowledge of appropriate regulatory environments including regulatory bodies together with a sound understanding of global regulatory themes

• Understanding of regulatory risk issues and their commercial impact;

• A strong understanding of investment and banking products, including regulated and unregulated collective investment schemes, ACD functions, funds of hedge funds, private equity partnerships, listed and OTC derivatives, structured products and managed portfolios

• Knowledge of the regulations and processes relating to new issues, secondary issues and self-directed trades

• Projects experience and stakeholder management

• You will be responsible for pro-actively keeping abreast of changes in legislation/regulation, have products knowledge in the Investments, Banking, Treasury or Credit space.

Salary will range from £75,000 – 105,000 + Benefits + Bonus

If you feel that you have the ability to perform this exciting position, apply now and a member of our Risk recruitment team will be in contact straight away to provide more details and a full role profile.