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  • 3 September 2008
  • Reference: JR204703
  • Risk Analyst

  • City of London £50,000 - £56,000 p/a Permanent

Are you a Newly Qualified accountant looking for an entry into Risk Management?

Active in over 50 countries, our client is one of the world's leading banks which provide its clients with investment and private banking. They are currently seeking a Risk Analyst to work in the consolidation team, understanding and monitoring business processes and risk implications.

The Role
This team monitor and mange risk across all the bank's business areas. This role is within the global consolidation & scenario analysis team which has 3 key functions: consolidated market risk reporting, regulatory capital reporting &market risk scenario analysis.

Key Responsibilities include
- Understanding and assessing the business process change and risk implications of new VaR methodologies on VaR
- Quality assurance review of underlying statistical data to ensure relevance and accuracy of risk data with VaR and ERC models
- Developing and understanding both the business process and calculation of new default risk charge methodology


The Candidate
The ideal candidate will be a newly qualified accountant who is highly numerate has strong Excel skills and ideally exposure to VBA. Prior product knowledge or a real interest in Financial markets are crucial.


If you get a buzz working in a busy and fast-paced environment, our client can offer you fantastic opportunities with great benefits within a supportive environment.

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