Senior Financial Risk Analyst - London, United Kingdom,
Senior Financial Risk Analyst
An exciting opportunity has ben created within a dynamic and progressive global company to work closely with the Chief Risk Officer and to provide appropriate expert second line challenge on the financial risks (market, credit and liquidity) faced by the business.
You will be responsible for managing and undertaking annual methodology validation activities, owning the model risk governance framework and management of the workload and priorities of second line financial risk team.
You must have significant experience of working in a financial risk or quantitative Risk function within a Financial Services company and understand the latest regulatory standards and market practice for model validation risk. You will also require strong Excel and VBA experience ideally have experience coding in Python.
Please submit your CV for consideration.