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Risk Manager

Graduate at Robert Half

Risk Manager

Graduate at Robert Half

  • LocationLondon, UK
  • Position levelGraduate
  • Job period iconFull-time employment
  • Application deadline iconPosted on 12 Sep, 2018
  • Start date iconStart date:
  • Visa iconVisa Sponsor
  • CompetitiveCompetitive
A fantastic opportunity for a Risk Manager has opened up at one of the leading UK online brokerage firms within their London Office.
Key responsibilities:
* Monitor and report various risk metrics pertaining to the companies business lines, ensuring any breaches are appropriately reported or signed off.
* Daily interrogation, interpretation and reporting of stress testing.
* Drive the development of existing reporting of market and credit counterparty risk.
* Ensure all procedures are up to date and accurate.
* Promote and raise awareness of FRM such that all stakeholders are aware of their responsibilities and obligations with respect to FRM.
* Manage, assist and monitor the performance of the Financial Risk team.
* Produce monthly board level management information on the Financial Risks within CFD and Stockbroking.
* Monitor and implement regulatory changes for Market and Counterparty Credit Risk.
* Assist in the Group regulatory submissions including COREP 001 and FSA 005.
* Lead a project for migrating existing reports from Excel to Python.
* Assist in the preparation of relevant sections of the Group's Financial Statements.
* Understand all existing and new products offered by the company, with particular reference to how they are captured and reported by Financial Risk Management.
* Maintain personal/professional development to meet the changing demands of the role, including all relevant regulatory and legislative training
* When dealing with all customers, clients or colleagues ensure that we provide a clear, fair and consistent high quality service that presents a professional and positive image of the business.
* Take all reasonable steps to ensure appropriate confidentiality
* Undertake such other duties, training and/or hours of work as may be reasonably required and which are consistent with the general level of responsibility of this role
Key Experiences:
* Previous Financial Risk Management Experience.
* Degree in Finance, Economics, or related.
* Professional experience of Python essential, including core numerical packages (numpy, pandas, etc)
* Attention to detail with a curious and inquisitive approach.
* Be organized, able to manage time efficiently to ensure that operational duties are completed on time.
* Strong Excel and basic Excel VBA required.
* Basel III and CRD IV knowledge preferable.
* Ability to meet deadlines and prioritize accordingly.
This role will also require a good sense of business acumen, leadership, team development and senior stakeholder management.
Robert Half Ltd acts as an employment business for temporary positions and an employment agency for permanent positions. Robert Half is committed to equal opportunity and diversity. Suitable candidates with equivalent qualifications and more or less experience can apply. By applying to this position, you acknowledge that you have read and accept the following terms: https://[URL removed]
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Job location

32 London Bridge St, London, UK