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Market Risk Reporting Analyst - Canary Wharf Based - Contract

Eingestellt von Hyphen

Gesuchte Skills: Engineering, Vba

Projektbeschreibung

Market Risk Reporting Analyst - Canary Wharf Based - Contract role

A tier one investment bank is seeking to recruit a Market Risk Reporting Analyst to join their growing team In Canary Wharf, London. The successful candidate will be responsible for the end-to-end process of collating market risk data for measurement, analysis and subsequent reporting to senior management, regulators and traders as well as other downstream users.

Responsibilities of a Market Risk Reporting Analyst:
* Production and distribution of RNIV calculations and reporting process including any necessary investigation and analysis of exceptions, data integrity issues. Working on a daily basis with Market Risk Managers.
* Reporting and performing validation checks on movements. This will involve evaluation and analysis of market risk exposures by employing statistical and other approaches.
* Ensure that the risk reports are accurate and complete along with the implementation of improved controls.
* Working closely with the Business, IT Departments, Controllers, Operations and your counterparts in other regions as part of a Global Team. Build a strong relationship with our key senior stakeholders in Equity SRM ensuring requests are completed on a timely basis.
* Review potential new business proposals in liaison with other departments to ensure the risk can be correctly captured by the firm's risk data collation systems and processes.
* To participate in the roll out of enhancements in risk systems, hierarchy re-orgs, report enhancements, processes and data feeds.
* A key team player and working across a global team to effectively utilise and the time zones to deliver timely reporting.
* Contribute to the overall MIRA departmental objectives and wider RAR objectives where applicable. Being a key team player and working across a global team to effectively utilise and the time zones to deliver timely reporting. Contribute to the overall MIRA departmental objectives.

Skills and experience required for a Market Risk Reporting Analyst:
*In depth knowledge of financial products, financial markets and risk drivers
*Detailed understanding of market risk methodologies, VAR, IRC, ERC, Stress Testing and Scenario's etc.
*Exposure to systems implementation, process re-engineering and systems development life cycle is highly desirable.
*IT Skill/programming languages/software: Strong Excel ideally with VBA, pivot tables and ability to understand and write excel formula.
*Must be able to deal with a lot data methodically and accurately.
*Must be able to work to tight deadlines and prioritise conflicting demands
*Highly numerate and strong analytical skills.

If you wish to apply for the above position, please call me or email on (see below)

Hy-phen Limited is acting as an Employment Business in relation to this vacancy.

The Adecco Group UK & Ireland is an Equal Opportunities Employer.

Projektdetails

  • Vertragsart:

    Contract

  • Berufserfahrung:

    Keine Angabe

Geforderte Qualifikationen

  • Kategorie:

    IT Entwicklung, Ingenieurwesen/Technik

  • Skills:

    engineering, vba

Hyphen