Risk Management SME

1 month ago


London, United Kingdom CV-Library Full time

Location: Central London (Hybrid - 2 days in office)

Position Overview:
We are seeking an Interest Rate Risk Management Subject Matter Expert (SME) to join our team in London. This role requires a deep understanding of interest rate risk management processes, modeling methodologies, and a strong background in banking and Treasury applications. As an SME, you will play a key role in driving technical projects, data analysis, and modeling platform requirements to support our interest rate risk management strategies.

Key Responsibilities:

* Risk Management Expertise: Utilize your expertise in interest rate risk management processes, models, and methodologies to guide strategic decisions and ensure best practices.

* Technical Project Delivery: Oversee the delivery of technical projects, performing complex data analysis, and defining data mapping requirements for our modeling platform.

* Business Analysis & Documentation: Act as a business analyst for banking and Treasury applications, documenting requirements and ensuring alignment across teams.

* Testing & Validation: Participate in testing activities, ensuring applications meet specifications, and serving as a point of sign-off for Treasury and risk-related projects.

* Asset Class Knowledge: Apply knowledge of a range of asset classes within a banking environment to support interest rate risk management initiatives.

* Stakeholder Engagement: Engage with stakeholders to clarify requirements, address concerns, and manage expectations.

Must-Have Skills:

* Interest Rate Risk Management: Extensive experience in interest rate risk management processes and models, including technical methodologies.

* Banking & Treasury Applications: Proven background as a business analyst in banking and Treasury applications, with the ability to participate in testing and provide sign-off.

* Technical Skills: Strong SQL skills for data analysis, reporting, and data mapping.

* Asset Class Experience: Knowledge of a variety of asset classes within the banking sector.

* Stakeholder Management: Effective stakeholder management skills, with the ability to clearly communicate complex technical information.

Ideal Candidate Profile:

* Experienced Analyst: You have a track record in interest rate risk management within a banking environment and are familiar with Treasury and risk applications.

* Technical Acumen: Proficient in SQL and data analysis, with the ability to map complex data for modeling purposes.

* Collaborative Communicator: You excel at engaging with stakeholders, gathering requirements, and ensuring successful project delivery.

Work Environment:
This is a hybrid role based in Central London, with 2 days per week required in the office.

Why Join Us?

* Work at the forefront of interest rate risk management with a leading financial institution.

* Enjoy a competitive salary, professional development opportunities, and a collaborative work culture.

* Central London location with a flexible, hybrid work schedule.

How to Apply:
Please submit your resume along with a brief cover letter outlining your experience in interest rate risk management, SQL expertise, and previous roles within banking and Treasury applications


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