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Risk AnalystReedLondon, England, United Kingdom
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Risk Analyst

Reed
  • GB
    London, England, United Kingdom
  • GB
    London, England, United Kingdom

À propos

Risk Management Associate

An excellent opportunity to join a growing, well-established financial institution.

The Company

Our client is a reputable, international financial services organisation with a strong presence in the UK market. They are committed to maintaining robust governance and risk management practices and are now seeking a motivated Risk Management Associate to support the development, monitoring and continuous improvement of their enterprise-wide risk framework.

The Role

As a Risk Management Associate , you will play a key role in supporting the Head of Risk Management across all aspects of the bank's financial and non-financial risk oversight. This is a broad and varied role - ideal for someone with strong analytical skills and a genuine interest in risk management within banking.

Key Responsibilities

  • Prepare regular and ad-hoc risk management reports for senior management and the Board, including VaR reports, risk dashboards and limit utilisation updates.
  • Monitor key risk metrics against established risk appetite levels, including scenario simulations to support business decision-making.
  • Review risk assessments and contribute to the annual Risk & Control Self-Assessment (RCSA) cycle.
  • Provide secretariat support to the Audit & Risk Committee, including preparing packs and drafting minutes.
  • Support the development and updating of internal risk policies, processes and guidelines.
  • Assist in delivering risk-related training sessions, communications and internal awareness initiatives.
  • Collaborate with group-level risk teams and assist in risk management projects and programmes.
  • Stay up to date with regulatory developments and evolving best practice in risk management.

About You

We are looking for someone who is proactive, analytical and keen to develop within a risk-focused role.

Essential Skills & Experience

  • Degree in Finance, Economics, Business or a related discipline.
  • Solid understanding of banking operations, products and services.
  • Knowledge of risk management processes (market, operational and/or credit risk).
  • Strong Excel and Microsoft Office skills.
  • Excellent written and verbal communication.
  • Strong attention to detail, analytical mindset and good problem-solving skills.
  • Confident working with stakeholders across multiple teams.

Desirable

  • Previous experience in risk, governance or compliance within financial services.

What's on Offer

  • Competitive salary and benefits package.
  • Opportunity to work closely with senior leaders in a highly visible role.
  • Clear progression and development pathways within a reputable organisation.
  • Dynamic, collaborative working culture.
  • London, England, United Kingdom

Compétences linguistiques

  • English
Avis aux utilisateurs

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