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Financial Risk Analyst

  • Location: London
  • Salary: Competitive
  • Job type: Permanent
  • Job reference: MKIRCCP
  • Sector: Market Risk
Job Description

Responsibilities: 

  • Ownership of Financial Risk policies. 
  • Assist with the annual methodology validation activities to ensure consistency with the regulations.
  • Own the "Model Risk Governance Framework"
  • The daily and periodic reporting of activities undertaken by first line to ensure ongoing compliance with policy.
  • Oversight and reporting of outstanding action items on the risk department.

 

Person Specification:

  • Degree in a Quantitative field
  • Strong level of experience of working in a Financial Risk or quantitative Risk function within a Financial Services company.
  • Understanding and experience of complex systems.
  • Understanding of market, credit and liquidity risk models and principles and industry best practice.
  • Experience of working within an Exchange or Clearing House and familiarity with the requirements of EMIR.
  • Strong understanding of CCP.

If you would like to apply or know more please email me: MK@barclaysimpson.com

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