Financial Risk Manager 6M FTC

Financial Risk Manager/6-Month FTC (likely to extend)/UK Bank Hybrid (London) A fast-growing UK bank with a strong presence in the SME and private client space is seeking an experienced Financial Risk Manager to join its expanding Risk function on an initial 6-month fixed-term contract, with a strong possibility of extension for a further 6 months. This is a high-impact role where you''ll help shape the bank''s financial risk framework - spanning ECL management, ICAAP, capital allocation, balance sheet risk, and liquidity oversight. You''ll work closely with senior stakeholders across Risk, Treasury, and Finance to support the bank''s strategic growth and ensure robust capital and risk management. What you''ll be doing: Lead the IFRS 9 ECL process, model development, and impairment reportingDrive ICAAP, stress testing, and capital planning initiativesOptimise capital allocation and balance sheet management to enhance risk-adjusted returnsMonitor capital concentration and liquidity risks, ensuring compliance with PRA and FCA standardsPartner with business and product teams to assess risk and capital impacts of new product developmentPresent financial risk insights and recommendations to senior management and risk committees What we''re looking for: Strong background in financial or treasury risk within a regulated banking environmentTechnical expertise across IFRS 9, ICAAP, Basel III/3.1, and UK prudential regulationAdvanced analytical skills (Excel, Python, or VBA Power BI ..... full job details .....
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