Senior Risk Manager
- Employer
- MW recruitment
- Location
- Central London, UK
- Salary
- Competitive
- Closing date
- Mar 18, 2019
View more
- Job Role
- Risk Manager
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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An overseas bank wish to recruit a Risk Manager to oversee the Bank's risk management activities (controlled function), key activities of the risk management function should include:
• Overall Risk Management Framework & Risk Appetite of the Bank
• Credit Risk - counterparty, Exposure limits, Country risk, Internal Cr Rating;
• Market Risk- FX, Money Market, Fixed Income (Bonds), Investment Portfolio;
• Liquidity Risk- Regulatory Stress Scenarios, LCR, including AL mismatches;
• Operational Risk- Risk of Systems and Processes, people, Individual departments under RCSA ( Risk Control Self-Assessment) including Operational resilience
• Cyber Security Risk ) including Cyber resilience
• Regulatory -ICAAP & ILAAP, Monitoring of Capital, Liquidity and other threshold conditions, Regular MIS- presentation of portfolio analysis to the management highlighting portfolio distribution across rating, product, sector, country, top exposures, irregular & overdue cases and unhedged exposures Experience: A strong risk management background across all forms of risk (market, credit, liquidity, operational) within banking (wholesale, retail) Strong management/leadership skills Regulatory - ILAAP & ICAAP The ability to analyses proposals in detail from a range of angles.
• Overall Risk Management Framework & Risk Appetite of the Bank
• Credit Risk - counterparty, Exposure limits, Country risk, Internal Cr Rating;
• Market Risk- FX, Money Market, Fixed Income (Bonds), Investment Portfolio;
• Liquidity Risk- Regulatory Stress Scenarios, LCR, including AL mismatches;
• Operational Risk- Risk of Systems and Processes, people, Individual departments under RCSA ( Risk Control Self-Assessment) including Operational resilience
• Cyber Security Risk ) including Cyber resilience
• Regulatory -ICAAP & ILAAP, Monitoring of Capital, Liquidity and other threshold conditions, Regular MIS- presentation of portfolio analysis to the management highlighting portfolio distribution across rating, product, sector, country, top exposures, irregular & overdue cases and unhedged exposures Experience: A strong risk management background across all forms of risk (market, credit, liquidity, operational) within banking (wholesale, retail) Strong management/leadership skills Regulatory - ILAAP & ICAAP The ability to analyses proposals in detail from a range of angles.
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