Credit & Collateral Risk Manager
6 days ago
We are currently working with a Global Bank and they have a new role, within their rapidly growing new area of banking and trading, as a Collateral Risk Manager. This opportunity provides the chance to work in a new department within their global structure.
As the Collateral Risk Manager, you will work within a specialist team overseeing the management of the Banks collateral across their EMEA region, providing updates, insights and monitoring risks.
The key responsibilities in this role will include.
- Being the Lead and taking ownership for the EMEA regions designated business units
- Provide analysis the activity in each of the business areas across their wholesale credit team
- Review and redefine the collateral management processes, reviewing tools and providing assessments
- Assist in the independent risk function and challenge the collateral practices of the business
- Work in partnership with the EMEA Wholesale team across their counterparty credit considerations
Your key skills for this Collateral Risk Manager role will include:
- Knowledge of individual collateral risks a plus
- Proven experience in financial services including corporate lending and risk management
- Full understanding of Rates, FX, Equities, Commodities and Credit products
- A strong team player, with clear communication, both written and verbal
- Be detail orientated, confident in analysing data sets and happy to take on new challenges
- Understanding of managing multiple priorities, providing timely updates and results.
This role is to work within a brand new team within their global structure and offers the opportunity to help build a new structure and processes.
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