We are seeking a skilled Risk Analyst to join our dynamic team working on the implementation of the SA CVA (Standardized Approach for Credit Valuation Adjustment) project.
This strategic initiative involves updating calculation methods for risk managers in compliance with global regulatory requirements.
Key Responsibilities
Generate and analyse daily financial traded risk reports for risk managers and traders.
Posted by Bruin Financial & Professional Services • £65K/yr to £80K/yr
General
My client, a global Insurance provider, is looking to hire a Senior Risk Analyst to support the risk management function to promote and embed the Risk Management Framework across all areas of the business.
This role is a 12-month maternity cover contract.
This role will provide the opportunity to
Oversee the process of embedding the Risk Management Framework, including identifying, monitoring, and reporting the risks.
We are looking for a contract FX Options , Risk and Pricing Business Analyst with a strong background in options risk and pricing to join our prestigious global Investment banks IT team for an initial 1 year contract.
You will be working on our bespoke FX options risk system, which is integral to the daily operations of our FX option traders and risk managers.
The ideal candidate will have trader-facing skills and a proven track record in project delivery.
They are seeking an experienced Credit Risk Analyst to join a new Credit Risk Delivery Function.
You will be supporting on the transformation of the current testing process, an end to end understanding is required - the role will involve gathering of reqs, writing scripts and testing of scripts.
Our client is one of the UK's largest and most reputable building societies.
Exciting opportunity for a Market Risk Business Analyst to join this global Energy company.
This is an exciting time to be joining this world-leading company as they transform themselves from a traditional Oil & Gas company into a leading name within the Renewables sector.
This includes the creation of an already highly successful new Power Trading desk within the Energy Trading team as well as new ventures into various innovative solutions around the supply of Renewables including wind farms, electric vehicle charging, solar panel heating and battery storage.
My large client in the financial sector is currently looking for an experienced Senior Model Risk Analyst to join their team on a 3 month contract basis to assist with various model risk management activities that are required on incumbent and new models used across my client's Credit Risk function, ensuring that the requirements of the relevant regulatory frameworks (SS1/23 Model Risk Principles for Banks) and internal standards (e.g.
Posted by Page Personnel Finance • £35K/yr to £45K/yr
Description
Conduct high risk client profile analyses to identify key indicators for the purpose of mitigating Anti Money Laundering (AML), financial, regulatory, reputational, and legal risks to the business.
General
The role will investigate and document relevant and material risk factors in order to facilitate Senior Management decision-making for the purpose of mitigating financial, regulatory, reputational and legal risk to the business.
We are recruiting for a Risk Administrator on an initial 3 months Fixed-Term Contract to join the asset finance arm of a large European corporate banking group, with worldwide jurisdiction.
Follow a pre-determined checklist on all transactions before underwriting to ensure compliance with Bank parameters.
The position itself will give the successful candidate the opportunity to be paid a competitive salary with the entitlement to a performance related bonus!