Barclay Simpson
Job title:
Market Risk Reporting Analyst
Company
Barclay Simpson
Job description
We are seeking a Risk Reporting Analyst to join an established Risk Management team in a exciting global financial institution. This is a great opportunity to develop your skills in Market and Credit Risk while contributing to a dynamic, fast-paced environment.Key Responsibilities:
- Produce daily risk reports covering Market and Credit Risk, ensuring accurate reflection of key figures for Senior Management, Front Office, and Risk Management.
- Act as a business owner of risk systems, liaising between Risk IT and the business.
- Collaborate with multiple departments, including Front Office, Product Control, and Senior Management.
- Monitor data quality controls and resolve issues impacting risk reporting.
- Manage limit breaches by monitoring the firm’s exposure against set limits and validating excesses with Risk Managers.
- Contribute to risk-related department projects and maintain procedure documentation.
- Provide impact analysis and support system changes and new product evaluations.
Would be great if you had:
- Experience in Market Risk and/or Reporting teams.
- Familiarity with Fixed Income, Derivatives, and risk-related products.
- Strong knowledge of Market, Liquidity, and Credit Risk principles.
- Proficient in VBA, Excel, Access, and Bloomberg.
- Excellent communication skills and attention to detail.
- Experience working with business and technology processes related to risk information.
If you are a motivated individual with a interest in risk reporting and are eager to take on a role within a dynamic team, apply today!
Expected salary
Location
London
Job date
Wed, 18 Sep 2024 22:45:59 GMT
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