Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group

Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group

London Temporary 70000 - 90000 £ / year (est.) No working from home possible
Jobs via eFinancialCareers

At a Glance

  • Tasks: Manage and assess risks for the London Stock Exchange Group while collaborating with key stakeholders.
  • Company: Join a leading financial services institution with a commitment to innovation and excellence.
  • Benefits: Competitive salary, inclusive culture, and opportunities for professional growth.
  • Other info: Dynamic work environment with a focus on AI integration and continuous improvement.
  • Why this job: Make a real impact in risk management and contribute to strategic decision-making.
  • Qualifications: Degree-level education and experience in financial services risk management.

The predicted salary is between 70000 - 90000 £ per year.

The Group Risk function is responsible for ensuring the development and maintenance of a risk framework that enables management to deliver its strategy by balancing risk and rewards within the appetite approved by the Board. It is also responsible for ensuring governance arrangements in place are adequate to effectively manage the strategic, financial, regulatory, and operational risks of the LSEG. This includes the development of risk strategies to manage across the risk taxonomy including business transformation, operational resiliency, financial crime, technology, cyber, third party and all other risk types. The risk function is a key contributor to the successful delivery of LSEG strategy.

This role in Group Risk (2nd line) supports the CRO for DSM, as part of the Markets Risk Team. Based in London, the role covers all aspects of the risk management for LSE plc, Turquoise and DMI and includes significant Board and Regulatory reporting. The role requires close liaison with the business, in particular Business Control Officers to ensure the risk management framework is fully embedded and the 1st line business heads to support the strategy and transformation risks. It requires a high degree of personal interaction, collaboration alongside risk management expertise.

Key Responsibilities
  • Support the Group Head of Risk for Markets and Chief Risk Officer for LSE plc to identify, assess, manage and monitor their risks against the risk appetite reported to the LSE plc Board and DSM CEO.
  • Responsible for the preparation of Risk Committees, Board papers and Regulatory responses to support the CRO.
  • Providing input and participating in Scenario, BCM and DR Testing, including review of output for vulnerabilities and risks.
  • Encouraging best practice and continuous improvement and alignment with the Group Risk framework.
  • Demonstrate adoption of AI tools into day to day work to generate efficiencies and deeper risk insights.
  • Maintaining positive relationships across all three lines of defence so that the risk framework has full endorsement from leadership and appropriately addresses their risk management needs.
  • Supporting the First Line team in delivering and maintaining the Risk and Control Assessment (RCA), whilst providing effective and robust review and challenge, ensuring effective risk remediation actions are identified to address control vulnerabilities.
  • Ensuring all risks identified as being near or outside appetite have high quality remediation plans which are monitored through the relevant governance forums.
  • Conducting topical investigations to deliver fresh risk insights.
  • Providing independent Second Line assessment of emerging and change risks associated with new strategy, new products and major projects.
  • Review and challenge of key controls and providing recommendations to enhance, develop metrics and assess for effectiveness.
  • Attendance and participation in relevant risk committees, forums, project boards and workshops.
  • Delivery of training and workshops to key stakeholders and employees as required.
Candidate Profile / Key Skills
  • Minimum of degree level qualification.
  • Background in Risk from a financial services institution.
  • Experience in the financial services sector with a good understanding of the financial industry.
  • Knowledge of financial services regulatory regime and relevant policies and controls.
  • Excellent communication skills and ability to collaborate across the Group, with a global view on problem solving.
  • Desire to adopt AI tooling into their work and proficient use of Microsoft Office, specifically PowerPoint, Word and Excel.
Integrity
  • Has the sustained drive and energy to deliver support service to time and quality.
Partnership
  • Puts project management methodologies in place (e.g. schedules of work, progress reports, etc.).
  • Manages internal partners effectively and deals with challenge and conflict successfully.
Innovation
  • Open to and willingly adopts new processes/approaches/ways of working.
  • Seeks information/inputs from colleagues/clients.
Excellence
  • Oral and written communications are tailored to their audience's needs.
  • Willingly puts in the effort to ensure activities completed on time and to the quality required.
  • Proactive and demonstrates initiative.
  • Prioritises activities according to business and operational need.
  • Analysis and problem solving.
  • Analyses issues to identify the most appropriate solutions.
  • Utilises all available resources and toolsets to investigate and resolve problems.
Career Stage
  • Manager
Equal Employment Opportunity

We are proud to be an equal opportunities employer. This means that we do not discriminate on the basis of anyone's race, religion, colour, national origin, gender, sexual orientation, gender identity, gender expression, age, marital status, veteran status, pregnancy or disability, or any other basis protected under applicable law. Conforming with applicable law, we can reasonably accommodate applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs.

Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group employer: Jobs via eFinancialCareers

The London Stock Exchange Group is an exceptional employer, offering a dynamic work environment in the heart of London where innovation and collaboration thrive. Employees benefit from a strong commitment to professional development, with opportunities for growth within the financial services sector, alongside a culture that values integrity, excellence, and diversity. With a focus on adopting cutting-edge technology, including AI tools, the LSEG empowers its team to enhance risk management practices while fostering a supportive atmosphere that encourages continuous improvement.

Jobs via eFinancialCareers

Contact Details:

Jobs via eFinancialCareers Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group

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We think you need these skills to ace Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group

Risk Management
Regulatory Knowledge
Financial Services Experience
Scenario Testing
Business Continuity Management (BCM)
Data Analysis
Communication Skills

Some tips for your application 🫡

Show Your Compliance Know-How:When you’re applying for a compliance-risk role like Markets Senior Risk Manager - (fixed term contract) - London Stock Exchange Group, make sure to highlight your understanding of industry regulations and risk management principles. Mention any relevant coursework, certifications, or projects that showcase your expertise in these areas—it's what sets you apart!

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How to prepare for a job interview at Jobs via eFinancialCareers

Know Your Compliance Basics

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