Senior Manager Financial Risk

  • Company:
    Greater Bank
  • Location:
  • Salary:
    negotiable / month
  • Job type:
  • Posted:
    2 days ago
  • Category:

We’re looking for a candidate to fill this position in an exciting company. 

  • Oversee and manage the credit and market risk framework, including adherence to legislative & regulatory compliance
  • Develop, implement, monitor and review risk management strategies and associated artefacts to manage credit and market risks across the business
  • Develop and maintain a stress testing framework, and review and challenge stress testing parameters and processes
  • Provide leadership, advice and guidance on credit and market risk matters in the Risk and Compliance Division and across the business
  • Constructively challenge, consult and advise, whilst maintaining excellent relationships and the respect of senior executives
  • Effectively negotiate, influence and engage a broad range of senior internal and external stakeholders

  • Strong knowledge of credit and market risk management and extensive experience in risk, audit or compliance
  • Sound knowledge of Retail Banking/Consumer Finance Products and operational processes in the financial services industry
  • Strong decision making and problem solving ability
  • Experience with data driven risk analytics
  • High level of interpersonal and communication skills with the ability to build long lasting relationships with internal and external stakeholders
  • Post graduate qualifications in a relevant field, experience in governance and control frameworks and experience leading a business function are desirable
  • Extensive risk , audit or compliance related experience
  • Expert knowledge of financial services risk and key regulations.
  • Strong decision making and problem solving ability