Data Quality Risk Manager - Investment Banking
Location: London (Hybrid, 3 days in the office)
Contract: Initial contract until 30/09/2025
Day Rate: £750-£850 per day (via an Umbrella company)
Are you an experienced Data Quality Risk Manager with a strong background in market risk management? We have an exciting opportunity for you to join a leading financial institution in London on an initial contract until September 2025. This role is hybrid, requiring you to be in the office three days a week.
Key Responsibilities:
- Manage and support multiple data quality governance forums, including preparing agendas and minutes.
- Implement and monitor internal data management controls to improve data quality and reduce inherent risks.
- Triage and prioritize data quality issues, providing proactive guidance to stakeholders.
- Develop and execute data quality reporting and remediation frameworks to resolve data quality exceptions.
- Collaborate with business partners to identify and implement policy changes, ensuring compliance with regulatory requirements.
Key Skills and Experience:
- Proven experience in data quality issue management, leveraging tools for governance and reporting.
- Expertise in creating and executing governance frameworks to enhance data quality and meet regulatory commitments.
- Strong knowledge of data methodologies, controls, and quality rules within a front office environment.
- Experience managing data process flows, risk, and controls in a large bank or dealer.
- Familiarity with global markets trading products (e.g., Fixed Income, Equity, Commodities) and/or Treasury Investments.
- Extensive Investment Banking experience