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Finance Risk Analyst

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

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Job Role
Risk Manager
Contract Type
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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