Financial Risk Manager - Coventry, Warwickshire, United Kingdom, CV1
To £55,000 per annum
Our client is a well-established and respected financial services organisation with a focus on delivering exceptional service to all internal and external stakeholders.
This is an exciting newly created job opportunity for a Financial Risk Manager with responsibility for and a particular focus on liquidity risk and treasury risk, including stress testing and forecasting. You will be responsible for a small team of analysts supporting their development, along with leading from the front when it comes to addressing new regulations, policies and procedures.
Ideally you will be degree educated with a STEM, Finance or IT degree. You will have relevant experience in a finance or treasury function where by you will be in a position to apply your knowledge in a financial risk capacity. Previous experience in a Financial Services organisation is a distinct advantage.
In return this is a growing team with clear ambitions which will offer career development and enhancement.
How to Apply
To apply in absolute confidence, please submit your detailed CV and quote your current remuneration details, together with reference number 371145.