Description
Finance Risk Analyst required by large Investment Bank, UK based
(Fully Remote Working available)
Role Overview:
To work on a pricing and innovation programme across the business, data analytics and capital management, both managed under balance sheet but separate programmes. Develop and maintain compliant and fit for purpose models used in the organisation's risk frameworks, including models that support stress testing.
Key Responsibilities:
- Deliver analytics and performance MI relating to risk models and for the development of new and enhanced approaches in support of improved business and customer outcomes.
- Maintain a clearly defined and effective framework in which models are developed and maintained in a controlled manner, mitigating excessive model risk.
- Lead and manage a department of specialised analytic and highly technically skilled model developers, building a team with active talent management and robust succession planning.
Required Experience:
You will have recent Banking experience as a Finance Risk Analyst coupled with experience of:
- Information gathering (Research)
- Stakeholder management
- Understanding alignment of different methodologies
- Finance knowledge - Credit Risk, cash flow models (talk to franchises, do a deep dive, bring that back to come up with a list of similarities/differences - audit type analysis)
Your International Talent Provider:
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