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Senior Market Risk Analyst

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Salary £75k
Type Permanent
Location London
Sector Credit & Risk Management
Job Reference T55/TXH/30035
Contact Tim Holbrough
Date posted 12-10-2018

International Corporate Bank seeking a Senior Market Risk Analyst to join their office in London.
Key responsibilities
• Provide support, advice and guidance on all aspects of market risk management and make recommendations based on analysis
• Establish the new second line function in the UK defining how Market Risk should be monitored, reported and managed as an independent second line function. This will include the documentation of new procedures.
• Review market risk policies against regulatory guidance and review business practice against policy in order to provide assurance on the control framework
• Contribute to strategic decision making on all aspects of market risk e.g. ICAAP, Risk Strategy & Appetite and Material Risk Assessments
• Assess the market risk profile and advise the Head of Market Risk on the appropriateness of positions /strategy

Skills/ Experience required
• Degree educated in a numerate discipline and/or professional qualification in Risk Management
• Demonstrable practical market risk experience of personal, mortgage or business lending (commercial) portfolios, with experience across a range of disciplines
• Technical competencies: knowledge of Bank system applications
• Demonstrable ability to adapt to change with commitment to streamlining current processes through use of technology
• Solution focused with strong interpersonal skills and evidence of ability to interact, engage and influence
• Proficiency with the following applications: MS EXCEL /Bloomberg /FinCad
• Willingness to travel
For applications or enquiries, email Tim.Holbrough@BRUINFinancial.com

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Contact Tim about this job

AVP, Consultant