Counterparty Risk Assessment Manager
3 weeks ago
Role Objective
The primary aim of this position is to evaluate, oversee, and control the risks associated with potential financial losses stemming from the failure of trading partners.
Key Responsibilities
- Overseeing the bank's exposure to each trading partner across various product categories and asset classes.
- Conducting thorough assessments of the financial stability and credit reliability of the bank's trading partners, which include corporations, financial institutions, and government entities.
- Creating and applying credit evaluation models to measure counterparty risk effectively.
- Performing stress tests to evaluate the repercussions of possible counterparty defaults on the bank's capital and liquidity positions.
- Negotiating and managing collateral agreements with trading partners to reduce potential losses in the event of a default.
- Provide guidance to key stakeholders, including leadership teams and senior management, on functional and cross-functional impacts and alignments.
- Identify and mitigate risks through comprehensive assessments, supporting the governance and control agenda.
- Exhibit leadership and accountability in managing risks and enhancing controls related to the team's operations.
- Show a thorough understanding of organizational functions to aid in achieving business objectives.
- Collaborate with various departments to stay informed about business activities and strategies.
- Develop solutions through advanced analytical thinking, comparing and selecting from complex alternatives. In-depth analysis and interpretative thinking will be essential for problem definition and innovative solution development.
- Incorporate the findings from extensive research into problem-solving processes.
- Establish and maintain trusting relationships with both internal and external stakeholders to achieve critical business goals, utilizing influencing and negotiation skills to secure desired outcomes.
Join us in the role of Counterparty Credit Risk - Vice President at Barclays, a unique opportunity within the Counterparty Credit Risk function, supporting both the Counterparty Risk Models Group (RMG) and Counterparty Risk Management (CRM). The successful candidate will gain knowledge and expertise in Counterparty Credit Risk, including model ownership throughout the model lifecycle and managing counterparty risk activities, such as live risk assessments of derivative and securities financing transactions across various asset classes.
Barclays is committed to ensuring that all candidates have the Legal Right to Work in any role they apply for.
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