Description
Market Risk, Regulatory, VaR
My client, a leading European Investment Bank, is looking for a Regulatory Manager to work within their Market Risk Management department. The role will sit within a new team that has been created to ensure all communication with the regulators, related to market risk topics, is centralised to ensure consistency.
The successful candidate will be required to control the link of communication between the bank and it's regulators in addition to co-ordinating regulatory audits and the remediation of their findings via the prescribed governance process. A further responsibility will be participating in regulatory market risk related projects around VaR and model validation.
In order to be considered for this role you will need to have experience in dealing with the regulatory issues surrounding investment banking. This experience can have been obtained from a background in, investment banking or financial services consultancy or audit. In addition to this you will need some knowledge of market risk including VaR, backtesting and stress testing. You will also need to possess superior communication skills and the ability to work effectively to stretching deadlines. Fluency in German would be beneficial but is not a pre-requisite.
Aston Carter Ltd is acting as an Employment Business in relation to this vacancy.