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Risk Project Manager

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Salary £70k to £90k
Type Permanent
Location London
Sectors Projects & Change Management
Credit & Risk Management
Job Reference T94/JXB/25030
Contact BRUIN Financial
Date posted 02-12-2016

My client, a leading bank based in the City is looking for a hybrid Project Manager/Business to work in the Financial Markets Team. This is a really exciting opportunity for someone who would like an opportunity to work across both BAU and Change functions responsible for the full lifecycle of risk systems.
Key Responsibilities:
• Act as a hybrid BA/PM on risk initiated change. This will involve Business Requirement Documentation from all relevant Risk Stakeholders along with defining test strategies, plans and cases.
• Provide Market Risk subject matter expertise for front office led transformation projects which contribute to the wider development of risk systems.
• Being the Risk point of contact for business transformation projects, liaising with key stakeholders with Risk. This includes Methodology, Front Office and Risk IT in the capacity of a PM or Lead BA.
• Define and manage project plans, maintain a RAID log, control change requests and compose and run-book.
• Support the run the bank team to ensure that systems remain complete and robust, which will involved management of senior stakeholders.
Required:
• Qualification/Degree in a quantitative discipline e.g. Mathematics or Finance
• Excellent knowledge of Market Risk Traded Products e.g. Repo, Rates, FX, Credit, MM and Structured Transactions.
• Detailed understanding of core risk measures e.g. sensitivities, VaR, SVaR
• Advanced use of VBA and SQL is preferable though not essential.
For more info please call James Baker on 02031453338 or email james.baker@bruinfinancial.com.

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