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|Type||Temporary / Interim|
|Location||City of London|
Department: Reg Reporting & Monitoring
Job Category: Finance
Job Title: Finance - Market Risk Analyst
Our client, a top tier Investment Bank, is looking for a Market Risk Analyst to join their highly dynamic team in London. London Regulatory Controllers are responsible for ensuring that the company maintains adequate capital resources to meet the firm's investment business commitments and to withstand the risks to which the business is subject, e.g. Market Risk, Credit Risk and Operational Risk.
Regulatory Reporting team is responsible for the production of all internal and external prudential regulatory capital reporting for EMEA regulated entities. The current vacancy is for an associate candidate within the Regulatory Reporting Production Reporting team specialising in Capital, RWA and Leverage ratio computations.
The Regulatory Reporting team sits within the Controllers department, a part of the Finance division. This is a very high profile team involved in a wide range of areas/issues and involves interaction with many other areas of the Firm.
The successful candidate's responsibilities will include the following:
Calculating components of the regulatory capital position on a daily basis.
Preparation and analysis of information used in frequent ad-hoc requests
Preparation and presentation of PRA regulatory returns on a monthly/quarterly basis:
UK entities COREP returns
Various PRA returns (FSA001, FSA002, FSA015, FSA017) and Group FSA015, and FSA017 Leverage ratio calculations and reporting Coverage of the Bank of England regulatory returns (BT, AD, AL, BE etc)
Preparation, review and presentation of internal management information:
Monthly/quarterly regulatory capital internal committee decks capital forecast scenarios for ICAAP
If you wish to be part of a leading international Investment Bank, please do not hesitate to apply today!
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