This is a prominent role that will see you maintaining and developing a strong second line of defence across our Treasury function
Youll help to articulate risk appetite and limit frameworks in collaboration with our first line Treasury functions and governing bodies at legal entity and divisional level for market risk
You can build on your existing knowledge of risk, and advance your career in this exciting, fast paced role
We're offering this role at associate lev
What you\'ll doAs a Treasury Risk Manager, youll be making sure that the functions activities comply with our risk appetite and risk management standards. Youll develop and deliver a suite of risk metrics to make sure that these can effectively capture the funding and liquidity risk which Treasury manages, and well also look to you to engage with our central Risk functions to understand their requirements and strategic developments.As well as this, youll be:
Providing stress testing of the relevant portfolios and bespoke stress tests based on market conditions
Reviewing and challenging our current risk methodologies and portfolio
Reviewing and understanding all elements of internal policy, working with the policy standard owner delegates within Treasury to challenge and help implement assurance activities
Keeping up to date with the regulatory environment in which we operate and helping to assess or implement the changes in our risk management framework
Interrogating data and reporting to make sure its accurate and appropriate
The skills you\'ll needWere looking for a risk professional with experience in a market risk function, ideally with exposure to and an understanding of capital risk, market risk or credit risk practices.Youll also demonstrate:
A good understanding of financial products
Knowledge of risk metrics and value at risk
Excellent attention to detail and strong Excel skills