- Supporting the delivery of the Group's Enterprise Risk Management Framework within the region and across Corporate Functions, across all risk types.
- Proactive interaction with key stakeholders and functional managers on all Risk topics and best practices.
- Support the preparation and execution of the Risk Assurance Plan, including control quality assurance (design and operational effectiveness), thematic and deep-dive reviews. This will involve preparation of audit work programmes, working with functional heads and management to assess risks and controls in their area, production of quality papers and communication of results to management.
- Support the enrichment and governance of risk events, conduct causal analysis, identify and track issues and remediating actions.
- Maintenance of finance technology associated with the Internal control framework.
- Support ongoing monitoring of region's risk profile against risk appetite through monitoring of performance against Risk Appetite Thresholds and related risk metrics (including: review of required escalations and tracking of risk response actions).
- Monitor and assist in the review of the Risk Management Standards within the region (risk register, controls framework and metrics).
- Participate in the delivery of the regional risk assessment processes, including identifying emerging risks.
- Assist in the preparation and execution of any regular risk or committee reports and the Finance Governance meeting papers.
- Participate in projects or remediations supporting the risk framework.
- Maintain in-depth knowledge and understanding of end-to-end processes, capturing key changes / transformation and ensuring up-to date process and control documentation maintenance.
- Participate in Finance Policy reviews and development.
- Assist with coordination and preparation of ongoing risk training and workshops developing out the engagement and risk culture within the region.
- From time to time you will be asked to undertake any other reasonable duties as required within this role.
- Complete any mandatory training by the required deadlines.
- Demonstrated understanding of risk management frameworks with particular focus on financial reporting, operational and business process risks.
- Knowledge of control testing process.
- Knowledgeable with current industry standards such as COSO or SOX.
- Operational experience at a system and process level, including process re-engineering, root cause and business analysis.
- Relevant and appropriate experience in a similar role.
- Proven quantitative and analytical skills with demonstrated attention to detail, critical thinking and problem solving skills.
- Established project management skills specifically around risk frameworks and governance.
- Preferably a qualification or experience in accounting or Internal Audit however other candidates with proven working knowledge of finance and/or risk management will also be considered.
- Ability to translate complex business requirements into technical solutions.
- Understands ideas and has a viewpoint on the markets and economy
- Handles situations and problems with innovation and creativity.
-
Emea Finance Risk
1 week ago
eFinancialCareers London, United KingdomThe EMEA Finance Risk & Control (R&C) team enables the EMEA Finance organization (across 54 countries in EMEA including Citi Solution Centre (CSC) to execute on Citi Finance Vision and Strategy and is a driving factor in delivering robust and consistentdesign, monitoring and gove ...
-
Traded Risk of Securities Financing
1 week ago
HSBC London, United KingdomOur Global Risk function, led by the Group Chief Risk Officer, oversees a comprehensive risk management framework that is applied throughout the Group. We focus on creating an environment that encourages our people to speak up and do the right thing. This responsibility includes ...
-
Internship (Risk/compliance/finance)
6 days ago
XTX Markets London, United Kingdom InternshipSHIP**Internship (Risk/Compliance/Finance)**: · **The Firm**: · XTX Markets is a leading algorithmic trading company partnering with counterparties, exchanges and e-trading venues globally to provide liquidity in the Equity, FX, Fixed Income and Commodity markets. We provide consiste ...
-
Prime Finance In-business Risk
1 week ago
Citi London, United KingdomCiti is looking for a senior in-business risk professional who will report into the Global Head of Prime Finance in-business risk (IBR) and have the responsibility for counterparty and platform risk management of Citi's cash and synthetic Prime Brokerage and Equity Delta One busi ...
-
Finance Risk Senior Manager
6 days ago
Lusona Consultancy (Group) Limited London, United KingdomReporting to 'Head of', this role will focus on 'business partnering' the Credit Impairment process. This covers both credit risk and finance stakeholders and ensures the risks and controls are robust both for the delivery of the SOX (Sarbanes · - Oxley) assuranceand Risk and Con ...
-
Associate, Disaster Risk Finance
10 hours ago
WTW London, United Kingdom**An exciting opportunity to join a unique team working at the cutting edge of risk and resilience across the globe.** · The Disaster Risk Finance (DRF) team within WTW Risk and Analytics (R&A) brings decades of experience in climate and disaster risk finance as well as broader r ...
-
Finance, Reporting and Risk Lead
4 days ago
Department for Business and Trade London, United Kingdom**Details**: · **Reference number**: · **Salary**: · - £53,560 - £63,481- National: £53,560 - £60,118; London: £57,026 - £63,481- A Civil Service Pension with an average employer contribution of 27%**Job grade**: · - Grade 7**Contract type**: · - Fixed term**Length of employment* ...
-
Vp Credit Risk Structured Finance
2 days ago
eFinancialCareers London, United Kingdom**Duties**: · - **Design and implementing a credit risk framework for the various lending divisions**: · - **Perform routine thematic / portfolio reviews and make relevant recommendations to Credit Risk Management Committee**: · - **Lead, guide, manage and develop a team of credi ...
-
Structure Equity Financing Risk Manager
1 week ago
eFinancialCareers London, United KingdomAs a Barclays Structured Equity Financing Risk, Senior Manager, you will be responsible for the analysis, approval and monitoring of structured equity financing trades, notably margin loans and fund financing transactions. Based in London with a globalreach, you will have an oppo ...
-
Vp Leveraged Finance Credit Risk
1 day ago
Morgan McKinley London, United Kingdom**Role description**: · - This role would sit in the EMEA Corporate Credit Team which is responsible for approving underwriting of Leveraged Finance transactions, loan exposures and derivatives trades. · - The role would be primarily focused on supporting the firms Leveraged Fina ...
-
Risk, Finance Risk
1 week ago
Goldman Sachs London, United Kingdom Full timeRISK · Our Risk division develops comprehensive processes to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects and contribut ...
-
Risk, Finance Risk
1 week ago
Goldman Sachs London, United Kingdom Full timeRISK · Our Risk division develops comprehensive processes to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects and contribu ...
-
Risk, Finance Risk
1 week ago
Goldman Sachs London, United KingdomRISK · Our Risk division develops comprehensive processes to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects and contribut ...
-
Risk Finance Consultant
1 week ago
Lockton Companies LLP City of London, United Kingdom**Risk Finance Consultant** · The Risk Finance Consultant will be responsible for supporting the Head of Risk Finance in developing optimal risk finance strategies for Lockton's clients that supports, enhances, and protects their enterprise risk management strategies. Informed by ...
-
eFinancialCareers London, United KingdomThis role is for a Risk Manager, located in New York or London, to oversee the market risks associated with the Global Markets Finance business globally. · The Global Markets Finance business is responsible for Firm Financing and Client Financing activity spanning the universe of ...
-
Senior Finance Risk
1 week ago
TP ICAP London, United Kingdom Full timeOur purpose is to provide clients with access to global financial and commodities markets, improving price discovery, liquidity, and distribution of data, through responsible and innovative solutions. · Through our people and technology, we connect clients to superior liquidity ...
-
Finance & Risk Management
2 weeks ago
Jigsaw Financial London, United KingdomA leading Investment Management solutions provider and distribution platform.You'll play a lead role in shaping the UK Finance & Risk function, working with the broader EMEA based team.Duties: Finance RiskAsset & Liability ManagementMonitor balance sheetsEnsure liquidity meets ca ...
-
Finance & Risk Management
2 weeks ago
Jigsaw Financial London, United KingdomCompany: A leading Investment Management solutions provider and distribution platform.You'll play a lead role in shaping the UK Finance & Risk function, working with the broader EMEA based team.Duties: Finance RiskAsset & Liability ManagementMonitor balance sheetsEnsure liquidity ...
-
Director of Finance and Risk
6 days ago
Control Risks London, United KingdomResponsible for providing financial advice and insights to the Finance Director and CEO of GB&P, with a seat at the commercial table with the Product Owner Partners and management teams, on all commercial related matters including revenue, cash, investment and new business opport ...
-
Finance & Risk Management
1 week ago
Jigsaw Financial London, United KingdomA leading Investment Management solutions provider and distribution platform. · You'll play a lead role in shaping the UK Finance & Risk function, working with the broader EMEA based team. · Finance Risk · Asset & Liability Management · PRA Regulatory Reporting · 8-20 years' ...
Senior Finance Risk - London, United Kingdom - TP ICAP
Description
Role Overview
This role is within EMEA Finance, specifically the Finance Governance & Projects team, with responsibility for supporting the delivery of the Group's Enterprise Risk Management Framework activities for Finance within the region. This includes identifying, measuring, controlling, and monitoring the Financial and Operational risk for all areas within Finance, providing an early warning system of the team's key risk indicators.
Other responsibilities include relationship management both internally and externally with all relevant stakeholders including IT, Compliance and Risk departments, committees and regulators.
Role Responsibilities
Experience / Competences
Essential
Desired
#LI-Hybrid #LI-ASO