We’re looking for a candidate to this position in an exciting company.
Transversal Risk reviews: identification, articulation, quantification, monitoring and reporting of transversal risks including deep-dive and l portfolio reviews in collaboration with EM and GFI Risk management teams.
Design, production, reporting, oversight and accountability of performance review and attribution for all London portfolios.
Front-to-back management of operational risk: identification, escalation, independent analysis, quantification, oversight of remediation actions, assessment of permanent control & oversea services), compliant with Basel II, locally applicable regulations and Group’s policy.
Automation and redesign of risk management processes consistent with current IT infrastructure.
Design, prepare and coordinate all documents for the London Senior Risk governance in particular the London Risk Committee including transversal analysis
ICAAP Risk calculation and reporting
Coordination of ISAE 3402 process
Principal Accountabilities for Operational Risk :
Drive independent reviews of known or emerging operational risks. The candidate will focus on post-mortem analysis of operational risk events to ensure that the risk management actions taken were adequate and to apply lessons learned more broadly to other activities or processes across the Company.
Lead the Risk Reviews on operational risk error notes and emerging risks with a focus on independently assessing the adequacy of risk management actions leading up to and following the event.
Perform analysis of policies, procedures, issue management practices, business process risk management, and other processes that may have contributed to, or impacted the severity of the event.
Syndicate review findings and recommendations with applicable stakeholders to ensure sufficient alignment with risk management practices.
Produce and present Operational Risk Review reports and supporting materials that clearly communicate findings and recommendations to senior management and governance forums.
15 years + experience in Financial Risk Management across different asset classes including fixed income and quantitative fields
Experience in implementation and ownership of performance attribution and/or risk monitoring/management
Advanced IT programming skills including data visualisation with proven track record of process re-engineering
Operational risk experience a plus
Fluent in English, French is a plus.
Autonomous, dynamic, proactive attitude and keen attention to detail
Ability to prioritise competing requirements and maintain quality outputs in highly demanding environment.
Team player with open/pro-active communication skills and ability to work in multicultural environment