Strategic Risk Manager – Based London, Paris, Stockholm, Milan or Moscow recruitment
The Role
Advise a variety of Financial Institutions across Investment Banking, Retail, Corporate Insurance.
Design implementation of a variety of Frameworks to support Credit, Market or Operational Risk
Offer solutions to comply with current upcoming regulations including; Basel II/III, Solvency II Dodd Frank This can include quantitative solutions such as modeling across; Counterparty Exposure Management, Economic Capital, ALM etc.
Engage with the client's senior stakeholders, offering pioneering solutions to help drive efficiency productivity.
The Candidate
Good academics, industry qualifications (CFA, FRM etc) desirable but not essential
Previous experience in consultancy essential
Previous experience running end-to-end projects leading teams.
Good overall knowledge of Risk Management, with a particular subject matter expertise in either Credit, Market, Liquidity or Quantitative Risk Management
Able to communicate effectively with senior stakeholders
Flexibility as there will be the requirement to travel within Europe.
Local language skills (either French, Italian, Swedish or Russian. English is essential)
If you would like more information on the role, please contact Jamie Brimage on +44207 970 9615 or e-mail Jamie.brimage@psdgroup.com. European applications welcome.