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RISK ANALYST, City of London
- UK - City of London
- £20.00 - £40.00 per hour
- Full-Time Contract/Temp
- Accountancy - Accounting
- Morgan McKinley
- 09-10-08
Job Description
Our top tier client is a London based Investment bank offering an excellent opportunity for a risk analyst to join their reputable team. A need has arisen as a result of the new business for an experienced p&l and risk analyst to join our client's Middle Office team in London.
The role holder will be responsible for acting as the single point of contact for all Credit/Equity trading front to back trade flow for products ensuring Front office has captured trades accurately, reviewing and assisting in the clearance of nostro and confirmation breaks as well as P/L and risk reporting. The role holder will be responsible for ensuring G/L completeness and integrity as well as driving the operational requirements as the business expands into new products. Other responsibilities could include the identification and participation in the design and implementation of process and infrastructure improvements.
The ideal candidate will have strong knowledge of complex credit and equity derivative products as well as an accounting background. The successful candidate will need to be a strong Communicator with the ability to interact with business and operations. The role holder will need the ability to thoroughly investigate and resolve issues whilst being risk and Control aware and able to capture and highlight issues, resolving them in a systematic manner, and ensuring impact to overall operation is either mitigated or escalated.
If you feel that you fit the above criteria and would like to apply for this role please forward your CV to us asap!
The role holder will be responsible for acting as the single point of contact for all Credit/Equity trading front to back trade flow for products ensuring Front office has captured trades accurately, reviewing and assisting in the clearance of nostro and confirmation breaks as well as P/L and risk reporting. The role holder will be responsible for ensuring G/L completeness and integrity as well as driving the operational requirements as the business expands into new products. Other responsibilities could include the identification and participation in the design and implementation of process and infrastructure improvements.
The ideal candidate will have strong knowledge of complex credit and equity derivative products as well as an accounting background. The successful candidate will need to be a strong Communicator with the ability to interact with business and operations. The role holder will need the ability to thoroughly investigate and resolve issues whilst being risk and Control aware and able to capture and highlight issues, resolving them in a systematic manner, and ensuring impact to overall operation is either mitigated or escalated.
If you feel that you fit the above criteria and would like to apply for this role please forward your CV to us asap!
- Ben Gotting
- FINCP052670
