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|Sector||Credit & Risk Management|
International Bank seeking a Business Operational Risk Manager to Join their Commodities and Global Markets team in London.
Implementing our control assurance (CA) programme for Commodities and Global markets (CGM) in line with the Operational Risk framework, this includes:
o Drafting performance test plans
o Scheduling of performance testing
o All control assurance is completed on time
o All improvements identified are entered into OP
o CA reports are published within the deadline
Ensure Control Assurance provides assurance of CGMs Risk and Control Risk Self-Assessment (RCSA) and audit readiness
Categorisation of critical controls has been accurately determined
Management reporting of Control Assurance activities
Liaison with Internal Audit and Compliance with respect to the control assurance programme
Skills/ Experience required:
5 years of Operational Risk/Internal Audit experience in a trading environment, including Securities trading, Fixed Income and Foreign Currency desks, Energy Markets desks (including Gas, Electricity, Oil, Coal and Uranium), Metals and Agriculture desks (including precious metals, base metals and agricultural products) and equity investments.
Strong understanding of Front Office operations and controls including deal booking, trade execution, vanilla and structured loan and derivative products, client interaction, rates/position marking, valuations, pre-deal checks including credit and market risk limits.
Excellent knowledge of Front-to-Back operational processes.
Knowledge of Finance processes including P&L production/reviews, balance sheet substantiation and reconciliations.
Experience in reviewing Treasury processes including daily funding, short and long term liquidity management, asset and liability profiling, board/senior management reporting.
For applications or enquiries, email Arjaree.Shackleton@BRUINFinancial.com
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