Risk Reporting Manager recruitment
Top Tier Investment Bank looking for a Risk Reporting Manager to be responsible for developing automated, routine reporting, automating existing manual reporting routines, and supporting ad-hoc requests for information and analysis by Risk Portfolio Managers and Executives in Europe. The successful candidate will have a proven background in reporting or analysis, strong written and verbal communication skills, SQL, database and reporting software skills, and a general understanding of Financial Institutions, Commercial Lending, Traded Products and Risk Management. Requirements:Financial industry Read more […]
Head of Counterparty Credit Risk recruitment
My client, a leading Financial Institution, is looking to hire an experienced Counterparty Credit Risk Analyst to lead their Counterparty Credit team. The role will report through to the Head of Risk Management and be responsible for Risk Analysts in London and Europe. The core focus of the role will be to develop the team and create a sound Counterparty Credit Risk culture within the organization.Other key responsibilities will include:Managing a team of experienced Credit Analysts.Work closely with Senior Management to ensure effective communication of Counterparty Credit Risk to the board.Preparing Read more […]
• Risk – Product Specialist / Presales recruitment
• Working for a globally recognised tier 1 within financial technology and software, your role will be to work as a subject matter expert within Risk Management Software and analytics across your specific region. • You will be responsible for all PreSales activity across sectors including Banking, Insurance and Asset Management • You will cover demonstrations and bespoke advisory on software/technology to both new and retained clients • You will be the point of contact and subject matter reference for senior C level clients Experience required:• First hand experience of working Read more […]
***Newly Developing Counterparty Analytics Team*** recruitment
As a subject matter expert lead within Counterparty Credit Risk, you will be driving the capital projects, demonstrating a solid understanding of the business at portfolio level.With a proven understanding of Basel/US Final either/or UK BIPRU rules, you will work closely with the credit and capital teams to drive, document and implement business requirements relating to the regulatory rules. Ideally you will have knowlegde of internal model method (IMM) that uses the concept of expected positive exposure (EPE). The role is analytical in nature requiring ad hoc analysis on a portfolio level to Read more […]
Credit Portfolio Risk Consultants x2 recruitment
Credit Portfolio Risk Consultants x2 required at Leading Investment Banking Consultancy. You will be responsible for advising clients on best practice in Credit Portfolio Management (modelling loans derivatives and bonds) firm wide Economic Capital Assessment and Regulatory Capital. Due to unprecedented demand from Top Investment Banking Behemoths, my client needs 2 Credit Portfolio Risk Consultants to join this successful Team.You possess excellent understanding of loan and or derivative Portfolios and the assessment of credit risk on these, including tail risk, economic capital, valuations Read more […]
Treasury Credit / Quality Assurance Manager recruitment
The role will interface with the GE functional Risk structure across the GE Group, Legal, Treasury and Finance and Audit functions. The role is based in Hammersmith.Essential responsibilities:This role is a dual role in the Risk function.The Risk function provides the counterparty credit approval and credit oversight of GE Capital UK’s Treasury activities (investments / money placements /FX dealing and derivatives). The job holder will be responsible for establishing procedures with regard to credit analysis and approval of credit lines for the Treasury function, providing the day to day Risk Read more […]
Counterparty Credit Risk CCR – Quantitative Analyst recruitment
Counterparty Credit Risk CCR – Quantitative Analyst required at Top Investment Bank based in LondonYou will be responsible for providing advice on best practice in Credit Portfolio Management modelling Counterparty Credit Risk and Credit Value Adjustment.You will join an unprecented World Class Team, building and implementing Counterparty Credit Risk with particular focus on internal model method IMM, including risk factor simulation, product valuation and risk weighted asset calculation RWA.Strong knowledge and practical understanding of the Credit Valuation Adjustment CVA, from a regulatory Read more […]
Counterparty Credit Risk Model Review recruitment
You will be focused on providing expertise on counterparty credit risk related to derivative and securities financing transactions activities. Responsibilities Review of counterparty risk modelling, measurement and management and assessing against international Basel 2 standards for capital requirements. Central counterparties risk management practices are also assessed against relevant standards.Analysing industry data and following industry trends to inform and deepen the client’s understanding and assessment of counterparty risk and counterparty risk management, and contribute to the development Read more […]
Relationship Officer recruitment
Working with the Branch Manager you will assist in business generation through branch and intermediary channels, whilst establishing and maintaining strong relationships with internal and external stakeholders. Your key responsibilities will include: Promoting and enhancing the brand within the local professional networkTo maximise opportunities increasing sales revenues and profitProvide guidance and support to internal colleagues regarding intermediary sales generationUndertake projects from time to time as directed by the branch manager To apply for this position you will:Knowledgeable in Retail Read more […]
Head of Change – Regulatory Risk recruitment
Deliverables: • Accountable for proactively leading and enabling the delivery of the total change portfolio for Regulatory Risk (including strategic, mandatory, tactical and BAU change). • Act as the principal interface in respect of the change agenda in Regulatory Risk and proactively ensure that an effective change dialogue is maintained across Risk and and with key stakeholders.• Responsible for reviewing the change model across Regulatory Risk and, in partnership with the business shape and build the model to ensure it effectively enables and aligns with the strategic priorities of Read more […]