Posted by Additional Resources Ltd • £70K/yr to £80K/yr
Are you a seasoned risk management professional looking to make a significant impact in a growing team A leading foreign Bank is seeking an experienced Risk Manager with 10 years of risk management experience in a UK-regulated financial institution to join their Risk Management and Regulatory Compliance Department.
As a Risk Manager, you'll play a pivotal role in overseeing and improving the risk management framework across the bank.
This role offers salary range of £70,000 - £80,000 and excellent benefits.
Posted by Hays Specialist Recruitment Limited • £60K/yr to £80K/yr
Responsibilities
Develop and maintain risk management documents (ERMF, Risk Appetite Framework).
General
Whilst providing oversight formultiple risk types, you will help implement the ERMF, support risk committees,and maintain the Bank's holistic risk profile.
This Risk Managementdepartment of this International Bank develops and maintains the Bank'sEnterprise Risk Management Framework (ERMF).
The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market, operational, enterprise and liquidity risks and has the responsibility of continual development of methods for risk measurement, frameworks and creating a bank wide strong risk culture.
Assistant Vice President
Job Description
Job Title Product Perimeter Control Execution Risk Senior Specialist.
As a Risk Manager focusing on Operational Resilience, your role will be pivotal in providing specialised advice and oversight on resilience and supplier risk frameworks.
General
An exciting opportunity has arisen for a seasoned Risk Manager with a focus on Operational Resilience.
This role is part of an independent team that provides an objective view of the company's operational resilience risk profile, supports and advises businesses in their management of Resilience, Concentration and Supplier risk.
You will be joining Non Financial Risk (NFR) Group Governance team, a team that sits within NFR Group Risk Management focused on ensuring Non-Financial Risk management group governance requirements are met in an accurate and timely manner.
Our client is seeking a highly skilled and knowledgeable Market Risk Manager to join their team This role offers the opportunity to oversee market risk and related controls, processes, and governance on traded products within the bank.
This role provides exposure to multiple traded products, offering a dynamic work experience.
The successful candidate will be central to coordinating responses on VaR/Stress testing/Capital related queries and contribute towards governance activities.