Credit Risk Manager – Project Finance recruitment
Key responsibilities will be : Undertake customer and large project financial risk analysis assignments Create detailed financial credit risk analysis reports by region, country and by customer to support regional, country, relationship business leaders in their market strategy Review and monitoring of internal credit ratings and credit line risk assessments Advise the Business Line on broad risk issues including; of sovereign risk, industry market risk, financing solutions, bank relationships, capital structure analysis as well as risk mitigation and credit enhancement methods in relation to Read more […]
Operational Risk Contract recruitment
Responsible for the maintenance, review and implementation of the Operational Risk Management Policy in the Bank Oversee the operational risk management and measurement frameworkOperational risk management:Facilitate Risk and Control Self Assessment (RCSA) workshops for all business groups, to identify residual operational risks and arrive at Key risks in the banks processes;Facilitate periodic walkthroughs to review the robustness and effectiveness of all key controls identified through RCSA workshops;Review Internal Audit findings to ascertain effectiveness of key controls; Facilitate developing Read more […]
Compliance Manager, Advice & Initiatives recruitment
Our UK Wealth (Private Banking) businesses have strong brands and are very well positioned in their markets. We offer banking and investment services to wealthy private and business customers in the UK and around the world. Our services include investment and portfolio management, tax, trust and estate planning, and stock-broking. We also serve offshore corporate and financial institutions. Our brands are Adam Company, and Coutts. RBS manages its compliance risk in a manner which will support the organisation to achieve and maintain its goals of standalone strength and sustainable growth Read more […]
Derivative Counterparty Manager recruitment
Erste Group Bank AG is the leading financial services provider in Austria and Central Europe.Commanding a sound understanding of derivative counterpart risk, the role will involve working with the individual trading desks, sales, risk management, mid office and the portfolio management groupinpricing and managing CVA risk. Specific focus will be on using and developing models to analyse all imbedded CVA risks and pricing the CVA element of complex and esoteric derivatives.Core product knowledge is required of derivatives and financial products for trading, pricing and risk management as well as Read more […]
EMEA Head of Counterparty Risk Analytics recruitment
You will input to the development of new strategies to better support risk management and to further optimise risk/return and capital optimisation. CCR Methodology is a principle driver for the team. The remit covers Regulatory and Internal Risk. You will work closely with senior risk and finance management as the organisation optimises both balance sheet and capital position. Your communication skills will be essential in clearly quantifying and explaining risks, in a quick decision-making environment. We are looking for a good manager who can get the best out of their team, and help a group of Read more […]
Market/Counterparty Risk – Team Build out – Tier 1 IB recruitment
My client, a Tier 1 Investment Bank, is going through huge growth of its derivatives platform on a global basis to continue excellent results from the FSA and being well ahead in the Basel III world. I am working with a Global Director who is building a new team to challenge the entire risk approach of the Bank from top to bottom – challenging the CCR and Market Risk quants on the models, the Reporting and Governance departments and liaising with the highest levels of Management including CRO level within the bank with a global remit in an environment that does over 1 million derivatives trades Read more […]
SOX 404 Audit / Risk Manager recruitment
Group Finance includes central finance areas, specialist teams and divisional finance teams which support our front-line businesses. Our specialist teams are; Global Finance Services, Group Chief Accountant’s, Group Corporate Finance, Group Finance Business and Executive Support, Group Financial Planning and Analysis, Group Internal Audit, Group Strategy, Group Tax, Group Treasury, and Investor Relations. Our divisional teams are; Business Services Finance, Corporate Banking Finance, Markets and International Banking (MIB), Non-Core and APS Finance, and Retail, Wealth and Ulster (RWU) Finance. Read more […]
Workouts / Restructuring, London recruitment
The successful candidate will have a background in either banking workouts/restructuring or similar experience from a professional advisory firm.Main responsibilities will include:This sits within Risk management and its core function is to manage exposure to deteriorated or watchlisted counterparties where recovery is considered to be at risk. Relationship management and credit responsibility for these counterparties.Negotiating with all related parties, including taking roles on coordinating committees to achieve maximum recovery.Reviewing appropriate strategy, obtaining internal approvals Read more […]
Junior Credit Risk Support Analyst recruitment
Job Duties: 1)Assembly of review files (includes core loan documentation/correspondence/Swap contract and documentation etc) 2)Assess various credit cases and investigate any key issues 3)Support senior investigators on day to day activities 4)Give recommendations from the credit reports 5)Ensure you meet various SLA on a regular basis Experience Skills: 1)Previous banking experience 2)worked in a credit support function 3)proactive with strong interpersonal skills
Stress Testing Modeller recruitment
Description of role and responsibilities, overall job objective(The aim of this list is to provide an indication only; it is by no means exhaustive): N.B. This role is to provide maternity coverage Ø To generate an approach to stress testing to generate automated means of stressing the portfolio using existing data sources given various input changes. Including: o Defining linkages between key profit and asset variables relating to retail portfolios and economic variables o Providing a basis to stress regulatory standardised capital requirements given changes to underlying Read more […]