Job Title: Manager, Risk Analytics (Banking)
Job Type Permanent
Location Gloucestershire
Start Date asap
Salary Competitive+bonus+bens
Ref No 165976-000000
A leading bank is looking to add to its risk analytics team with this exciting position. A varied role that encompasses supporting strategic objectives surrounding capital and impairment management, as well as strategic collaboration with key stakeholders across the business. This role will have truly meaningful impact on the business.
Key Responsibilities/Accountabilities
- Liaising with senior manager to take responsibility for risk analytics capabilities, the continual enhancement of forecasting tools and risk statistical reporting, and the production of various forecasting models.
- Manage a team of analysts, encouraging their continual development and motivation.
- Help shape the risk analytics capabilities of the team to produce timely and meaningful management information.
- Work with key stakeholders across the business to utilise this information to drive corrective and strategic action.
- Take ownership over the development of accurate capital reporting, according to business requirements.
- Liaise with key stakeholders to ensure compliance with IFRS7, Basel III, and other external credit data reporting requirements.
Key Skills/Experience
- Professional financial qualification, eg ACA/ACCA, CIMA, ACT, CFA, PRMIA PRM/APRM, GARP FRM, or equivalent excellent experience
- Good background in credit risk issues, techniques, and frameworks is required
- Analytical background, with an understanding of the uses of technologies such as SAS
- Solid understanding of the commercial elements of risk modelling; ability to identify areas and prioritise tasks in which benefits to the business is greatest
- Good stakeholder management and communication skills, with ability to communicate complex information to non-technical stakeholders across the business.
Desirable
- Background in retail banking
- Degree educated
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