Graduate Risk Analyst

Posted 18 May 2022
Salary £30000 - £35000 per annum
LocationCity of London
Job type Permanent
Reference9949_1652870807
Contact NameHelena Rattova

Job description

Opportunity for a Risk Analyst in London at a fast-growing bank.

The Opportunity

Reporting into Senior Risk Manager and working closely with the Credit Risk Manager, Senior Manager, TRM, Chief Risk Officer and other senior leadership Heads.

You will play a critical role in shaping the future Risk Management Framework across Credit Risk, Market Risk, Liquidity Risk and Operational Risk.

What you will do

  • Proactively assisting to monitor the quality of the real estate portfolios and conduct periodic reviews and stress testing as and when appropriate.
  • Drive enhanced levels of credit portfolio Management Information for presentation through
  • Governance committees such as Risk Management Committee and Audit and Risk Committees.
  • Validation of ECL monitoring and oversight of model development. Act as central point of contact for risk requirements for IFRS9, including ongoing Estimated Credit Loss calculation through liaison with
  • Finance, front line and Credit and CRO.
  • Enhancing the Risk data analytics and model developments.
  • Assisting in the oversight of Credit Risk, Market Risk, Operational Risk and Liquidity Risk.
  • Act as subject matter expert across these risk disciplines and proactively drive knowledge across the Bank.
  • Assist in the oversight and completion of key regulatory documents and risk policies.
  • Contribution to the preparation of the monthly Risk Reporting pack for Risk Management Committee and Asset & Liability Committee, together with quarterly preparation of the Board Audit & Risk Committee pack.
  • Maintain the Banks Risk Register, ensuring this provides an accurate and comprehensive view of the respective risks and actions to address.
  • Co-ordinate the Banks Risk & Control Assessment on an on-going basis.
  • Active involvement in the Banks Risk Management Committee and other Risk forums and Committees including Secretariat responsibilities.

Experience Required

  • Good understanding of risk disciplines, and experience in credit, operational, market and liquidity risk.
  • Good degree of banking experience, including extensive risk experience ideally within a small Banking environment.
  • Strong technical experience including data analytics, modelling, VBA and advanced Excel
  • Strong written and spoken communications skills.
  • Real Estate Finance and wider experience of UK Regulatory issues, such as ICAAP, ILAAP and RRP are strong advantages.

Inventum Group is acting as an Employment Agency in relation to this vacancy.