VP - Capital RISK Oversight, Treasury, Stress testing
October 11, 2018
London, United Kingdom
Review and challenge stressed capital plans for both internal and external stress tests.
Implement within BI the Group approach for allocation of capital to businesses consistent and in line with allocation of Risk Appetite for financial volatility, including setting of business capital limits where appropriate.
Set-up and implement a robust framework for risk based return on capital, to Barclays businesses, including monitoring, and integrated in the Finance performance management infrastructure.
Develop a centre of excellence for capital risk analytics in particular focusing on capital volatility, risk based return on capital and capital allocation.
Undertake BI governance and control activities including Policy/Standards addendums, controls/RCSA activity, contribution and review of external disclosures/reports etc.
Risk and Control Objective
Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Enterprise Wide Risk Management Framework and internal Barclays Policies and Policy Standards.
Experience in Risk and Treasury Capital Management
Excellent communication skills, both written and oral, and ability to interact with senior management
Ability to present complex topics succinctly and concisely
Excellent analytical skills
Strong organizational and networking skills
Skilful co-ordination of a wide range of stakeholders both within and beyond the Risk function
Team player and detail oriented
Fast and eager to learn
Highly motivated, self-starter
Strong, working knowledge of Microsoft Office applications
Internal Number: 4672118
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