The role entails providing effective second line oversight and challenge of the bank’s financial risks, covering capital, liquidity, market, credit and climate risk. It will be a hands-on analytical role underpinned by problem-solving and quantitative analysis. The Financial Risk Manager will produce reporting, conduct technical analysis and provide oversight of the accuracy, adequacy and regulatory alignment of management information used to monitor financial risks. The role will involve frequent senior manager engagement, building and maintaining business relationships and raising challenge on strategic initiatives, financial processes, risk controls and financial decision making.
Experience: