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Finance Risk Analyst

Employer
Inter-Dealer Broker firm
Location
London, United Kingdom
Salary
Competitive Salary
Closing date
Feb 13, 2024

View more

Job Role
Risk Manager
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Finance Risk Analyst

• Do you have some foundation (min. 1-3 years) of Finance BA, Operational Risk and Controls, Internal Audit or Finance Change experience from a medium to large global or multi-entity PLC environment or from a global consultancy (like a Big 4, Accenture, etc.) or Financial Services firm?
• An understanding of Risk Management Frameworks or Enterprise Risk Management Frameworks would be ideal?
• Experience around process testing, documentation, design or engineering?

Finance Risk Analyst

Global Investment Inter-Dealer Broker firm is going through a period of expansion due to an increase in trading activity. Our client, based in their London office with hybrid working is looking to add a Finance Risk Analyst person to the Finance Change team.

Finance Risk Analyst

• Supporting the delivery of the Group’s Enterprise Risk Management Framework
• Support the preparation and execution of the Risk Assurance Plan, including thematic and deep-dive reviews.
• Conduct causal analysis, identify and track issues and remediating actions.
• Maintenance of finance technology associated with the Internal control framework.
• Support ongoing monitoring of region’s risk profile against risk appetite through monitoring of performance against Risk Appetite
• Monitor and assist in the review of the Risk Management Standards
• Participate in the delivery of the regional risk assessment processes
• Participate in projects or remediation supporting the risk framework.

All applications are welcome and will be reviewed for this excellent Finance Risk Analyst role.

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