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Senior Manager: Integrated Financial Risk- Capital & Financial Markets

London, United Kingdom
£130K negotiable+ bonus + excellent benefits
Closing date
Mar 6, 2024

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Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Stimulating opportunity in one of the UK's largest financial services organisations. As part of this esteemed 2nd Line Risk Management team, you will oversee and challenge the bank's financial risks including Market Risk, Funding & Liquidity, Model Oversight and Regulatory Reporting.

Enjoy close collaboration with Group Risk partners and CIB and working alongside various stakeholders including Finance, Treasury, Credit and Portfolio Management you'll contribute to overseeing large regulatory and internal change initiatives.

Skills Required:
  • Robust knowledge of Market Risk, Capital, Funding & Liquidity, Counterparty Credit Risk, Model Risk and Regulatory Reporting.
  • In-depth markets, trade, and lending products knowledge.
  • Strong analytical skills with a knack for quickly assimilating new information. and providing proactive challenge to enhance our risk framework.
  • Project management / change experience.
  • Exceptional attention to detail.
  • Ability to convey complex ideas clearly and succinctly to Executives and Board.
  • Curiosity, flexibility, and adaptability to thrive in a fast-paced, ever-changing environment.
  • A continuous learning mindset and ability to drive collaboration amidst competing priorities.
  • Strong influencing skills and ability to challenge constructively.

If you're excited by the thought of becoming part of this team, please submit your application.

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