At a Glance
- Tasks: Analyse and enhance financial risk frameworks while collaborating with teams.
- Company: International banking group specialising in project and acquisition finance.
- Benefits: Competitive salary, professional development, and a dynamic work environment.
- Other info: Opportunity to strengthen risk culture and grow your career in finance.
- Why this job: Make a real impact on financial risk management in a global setting.
- Qualifications: 5+ years in liquidity risk, strong analytical skills, and proficiency in MS Office.
The predicted salary is between 56700 - 69300 £ per year.
THE COMPANY
Our client is an international banking group based in the City that specialises in project and acquisition finance.
THE RESPONSIBILITIES
- Maintain and enhance Liquidity and Market Risk frameworks under the oversight of Head of FRM;
- Produce and analyze liquidity, ALM, and market risk metrics & reports, ensure compliance and escalated risks.
- Provide support to the team in monitoring branch’s credit risks and assist Head of FRM in maintaining Credit Risk Framework.
- Support automation of financial risk reporting, using tools like – Qlik Sense, Python, or Excel VBA etc.
- Collaborate with Internal Control to strengthen financial risk-related controls and data accuracy.
- Comply with Group policies (AML, conduct rules, etc.) and actively enhance risk culture via policy updates, training, and cross-team collaboration.
EXPERIENCE REQUIRED
- Ideally 5+ years of experience in liquidity risk (1Lo D/2Lo D) in banking; knowledge of EEA/UK regulations.
- Strong analytical, problem-solving, and stakeholder management skills.
- Proficiency in MS Office (Excel, Power Point, etc.).
- Ability to manage diverse responsibilities under tight deadlines”
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Financial Risk Analyst employer: Saxton Leigh
Saxton Leigh is an exceptional employer located in the vibrant city of London, offering a dynamic work culture that prioritises collaboration and innovation. Employees benefit from comprehensive professional development opportunities, competitive compensation, and a commitment to fostering a strong risk culture, making it an ideal place for those looking to make a meaningful impact in the field of liquidity and market risk analysis.
We think you need these skills to ace Financial Risk Analyst
Liquidity Risk Management
Market Risk Analysis
Credit Risk Framework Maintenance
Financial Risk Reporting Automation
Qlik Sense
Python
Excel VBA