We seek the individual to assist the delivery of various risk related engagements encompassing the following areas:
- Front office supervision - Market abuse and market conduct risk - Unauthorised trading assessments and investigations - Risk management frameworks and target operating models - Front-to-back assessments of trading controls environment against good market practice and regulatory expectations - Fair client order handling - Risk assessments of electronic trading practices - Application of the Fair and Effective Market Review within investment banking - Advise clients on the benefits, regulations, current industry practices and advancements relating to various risk issues - Keep abreast of latest trends and any new regulations - The individual will also be required to apply their skills to a broad range of banking risk related issues supporting both regional and national propositions.
Knowledge, skills and experience:
- Understanding of trading environment and approaches to risk management, with insights into how to develop/improve these approaches to add true value to our clients - Knowledge of new regulatory developments - Good understanding of the governance around risk management - Excellent oral / written communication - Understanding of a trading and control environment across either FI, Equities, FX and commodities. This experience likely to have been gained in either:
· Consultancy · Product Control · Middle Office · Business Management - Flexibility to work across the UK (and internationally) where required
Internal Number: 5122939
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