Join our client, a globally recognised and award-winning financial institution, as a Risk Specialist on an initial 6-month contract with the potential for extension.
As a Fortune 500 company with over 130 years of financial experience, our client is committed to providing innovative financial services and guidance to the world's most successful people, families, and institutions.
We are currently seeking a highly skilled Risk and Controls Specialist to join our client's dynamic team.
As a Risk and Controls Specialist, you will play a crucial role in the delivery of Risk & Control Self Assessment Transformation for our client's Markets business.
The analystwill assist the Risk Director in managing non-financial risks for the business.
A 6 month day rate contract is available for an Operational Risk and Controls Analyst to join the risk team at a global asset & investment management business.
This position is temporary, filling in for someone who is currently working on a controls and governance improvement project.
Resilience Risk Specialist - Operational Resilience and Technology
An exciting opportunity for a Resilience Risk Specialist to become a part of the second line of defence risk team specialising in Operational Resilience and Technology for a leading and well established commercial bank in London.
General
The Resilience Risk Specialist will play a substantial role in the second line of defense risk team in proving oversight and supporting the first line in management of risk that the bank faces in line with business activity.
Key Responsibilities of the Resilience Risk Specialist
Assess and challenge the effectiveness of data protection systems and controls.
The Enterprise Product Platform and Risk Specialist team is responsible for supporting Bloomberg's Enterprise Product Platform and MARS Solutions, including areas such as Front Office, Market Risk, XVA, and SIMM.
General
Bloomberg's Multi-Asset Risk System (MARS) is a comprehensive suite of risk management tools that delivers consistent, consolidated results across client's entire firm.
Powered by Bloomberg's world-class pricing library, market data and mortgage cash flow engine, MARS enables front office, risk and collateral professionals to analyse their trading and investment portfolios, manage and mitigate their exposure and ready themselves for any turn of events.
Due to an internal move, my client is seeking to appoint two Risk Consultants to operate in the first line.
My client are an insurance corporation with global interests and a spread of different products on offer.
The roles are urgent and so ideally start as a Fixed term contract with a view to going permanent, but they are also open to straight permanent applicants.
The Risk Implementation Team provides our clients outstanding service in scoping, deployment, and integration of our solutions within the framework of their existing businesses.
For Multi-Asset Risk System (MARS) and Portfolio Risk Analytics (PORT) products, we partner with Sales and Account Management throughout the sales process to guarantee the solution is a fit for our client's needs.
Today, Risk Implementations handle multi-asset risk products, which include MARS Front Office Risk, Market Risk, Credit Risk, Counterparty Risk, Hedge accounting and Collateral management.