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    Risk Manager - City of London, Greater London, United Kingdom - Morgan McKinley

    Morgan McKinley
    Morgan McKinley City of London, Greater London, United Kingdom

    2 weeks ago

    Default job background
    Description
    Global investment bank seeks an AVP level Counterparty Risk Manager as part of its expanding Management Information Counterparty Credit Risk division

    Management Information Counterparty Credit Risk (MI CCR) team is responsible to provide an

    independent view and analysis of key counterparty risks. The team sits within RISK - MFI Platform (Markets and Financial Institutions) - MI (Management Information).


    It interacts closely with other MI teams in London, Paris, Brussels and New York, as well as several RISK MFI teams under Analysis & Decision and Platform stream.


    Purpose:
    working on the analysis and reporting of counterparty credit risk (CCR) in line with the team's mission statement.


    • Participate in the production and review of the management information framework, while working in coordination with other members of RISK and Metiers. Exposure (PFE), Credit Valuation Adjustments (CVA), stress tests, initial margin, liquidation cost.
    • Coordinate and prepare the material discussed during the main risk committees within the MI CCR scope (e.g. FMRC, Hedge Funds and Higher Risk Funds Main Positions) as well as Supervisory reports (e.g. Use best practices and knowledge to improve processes and reporting practices on CCR, taking into account external or internal recommendations (e.g. check and improve scope completeness and accuracy of the information presented).
    • Participate to current and future initiatives on CCR and deliver small-scale projects or well-defined tasks on major projects within the RISK function (e.
    Coordinate and respond to ad-hoc requests for CCR analysis, whether external (e.g. from Regulators) or internal (e.g. request for focus paper on a specific topic).


    • Work under general guidance from more senior Risk professionals, referring more unusual and complex matters upwards for support when required, and acts as a resource for colleagues with less experience.
    • Support the wider Management Information team through contributions to various global risk analysis topics.
    BSc. with a numerical focus (e.g. scientific, mathematical or financial discipline).


    • Solid understanding of the main financial products and their risk drivers.
    • Proven knowledge and experience linked to counterparty risk measurement elements - CE, PFE,JtD, xVA, VaR, stress testing, legal documentation (e.g. MA, CSA), counterparty credit quality(PD, recovery rate) etc.
    • Some knowledge and experience in topics such as statistics/econometrics, derivatives pricing fundamentals / greeks.
    • Self-motivated and able to organize tasks in project mode as well as be able to ensure their timely progress or escalate when required.
    • Excellent written and oral English skills in order to articulate technical issues and enable effective communication with individuals across the different RISK teams and the Business.
    • Ability to manage / facilitate a meeting with senior stakeholders.
    Python programming experience is an advantage.

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