Market Risk Analyst

New York  ‐ Onsite
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Keywords

Description

The Market Risk Analyst, Stress Testing Analyst role is based within Market Risk Management and Control. Part of the Market Risk Management and Control function, the Global Reporting and Analysis Team is responsible for delivering high quality reports and analysis, cross assets. Audiences include Regulatory Risk Analytics, Regulator and Capital Management.

The team is the centre of competence on reporting and analysis cross assets in a quickly changing financial and regulatory environment.
The role of the Market Risk Analyst, Stress Testing Analyst is:
  • Reporting and explaining Stress Testing
  • Coordinate Market Risk Control team across businesses and sites to get accurate exposures at aggregated levels.
  • Supporting calibration and analysis of stress test results, being a trusted key player on this area.
  • Supporting Stress Tests on Market Risk and back up on Credit Risk Stress Testing.
  • Preparing Monthly stress test pack for Risk Management Committees.
  • Identifying new risks, new stress tests, and executing those within tight deadline to cope with senior management requests.

The ideal candidate for this role will have:
  • Relevant product knowledge including knowledge of Understanding of products, with emphasis on Credit and Mortgages.
  • Experience working in relevant market/context, i.e. Risk Management, Risk Control
  • Past working experience in a relevant role, i.e. previous experience in the Financial Market services industry, preferably on asset class Mortgages and Credit.
  • Past working experience on relevant systems, i.e. Expertise in Excel, Access, VBA.
  • A flexible and adaptable approach to change and will support others to respond in a similar way
  • Both spoken and written communication skills with experience of adapting your style and approach to the audience and message to be delivered
  • A comprehensive understanding of the regulatory frameworks and compliance requirements associated with financial services and experience of working within these
  • In addition to the details listed above, the ideal candidate will be keen to listen to and learn quickly from different risk managers and senior management


Please contact Ciara O'Kane at Huxley for further information.

To find out more about Huxley Associates please visit www.huxley.com
Start date
03/2014
From
Huxley Associates
Published at
12.03.2014
Project ID:
677527
Contract type
Permanent
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