£75,000 - £85,000 Basic + bonus & benefits.
Do you have experience of Operational Risk Management and Control related to FX and Treasury markets? Would you like to change your role and work for a well-regarded international bank, which gives you a platform to develop your skills and challenge yourself in a collaborative environment?
Your new role would be a challenging permanent opening as an Operational Risk Manager, FX and Treasury - VP, based in Canary Wharf, London.
You will be in a VP level role and will be responsible for ensuring the Operational Risk Management Framework is complete and applied consistently throughout the relevant business lines and to provide business management and other groups with independent guidance and challenge on all aspects of Operational Risk and governance. In addition, you will ensure material emerging and top risks are identified, discussed and escalated if necessary within the Global Governance Frameworks as well as through to the other Senior Risk Managers
In order to qualify for this excellent opportunity, you must have operational risk experience within a bank related to FX and Treasury markets.
Other required experience includes:
- Operational Risk/Control Management background within banking
- FX, Treasury and markets product knowledge
- Strong business acumen – ability to challenge in the right way
- Able to work in collaboration with other team members and other risk functions, strong stakeholder management skills.