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|Sector||Credit & Risk Management|
International Bank seeking a Head of Risk Management to join their London office.
All activities within Risk Management, which covers Basel Implementation, Portfolio management, Risk Policy, Risk Data and System, Provisioning, Market Risk, Operational Risk, and Risk support etc.
To enhance the Bank wide framework for identifying, measuring, evaluating, controlling, monitoring and reporting the credit, market and operational risks. Co-ordinate with other Second Line areas (Credit Risk, Compliance, Liquidity etc) for enterprise-wide risk management.
Capital Adequacy planning (ICAAP).
To support sustainable and healthy business development at acceptable risks to the Bank
To ensure the timely maintenance and consistency of risk policies and procedures across the Bank, and also to ensure the group policies and regulatory requirements are adhered to.
To maintain good communication with Head Office
Any other matter assigned by the General Management
Skills/ Experience required
Degree educated in a finance, business or economics discipline
Relevant professional qualification (e.g. MBA, ACIB, FRM, CFA).
Experience of performance management and staff development
Abundant experience in Basel II and III implementation, especially in credit, market and operational risk quantitative models and tools.
Thorough knowledge of banking products and risks associated with them including portfolio management, operational and market risk.
Thorough knowledge on Enterprise wide Risk Management (ERM) and risk universe management.
Experience of default modelling and IFRS9
A strong understanding of Basel , PRA/FCA and EU regulatory requirements.
Professionalism, vision, communication and management skills.
For applications or enquiries, email Arjaree.Shackleton@BRUINFinancial.com
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