About the Role:
This role focuses on managing and controlling market risk changes within a UK-based organization. The successful candidate will implement effective strategies for mitigating risk and ensuring compliance.
Key Responsibilities:
- Develop and implement market risk change controls and procedures.
- Manage the impact of market risk changes on existing processes and systems.
- Assess and mitigate market risk exposures related to new and existing products.
- Ensure compliance with regulatory requirements related to market risk.
- Monitor and report on market risk performance and trends.
- Collaborate with stakeholders across the organization to ensure a consistent approach to managing market risk.
Skills and Expertise:
- Strong understanding of market risk principles and regulatory frameworks.
- Proven experience in managing change within a financial institution.
- Excellent communication and interpersonal skills.
- Detail-oriented approach with excellent analytical abilities.
- Experience with relevant risk management software and systems.
Why Join Us:
Join a company committed to innovation and excellence in managing market risk within a dynamic and supportive environment. We offer a collaborative atmosphere with significant opportunities for professional development.