Capital Risk Manager

3 weeks ago


London, United Kingdom Empirical Search Full time

Role Description

Develop and execute a comprehensive and granular programme of capital second line of defence, working closely with Global Treasury ensuring appropriate measurement, monitoring and management of capital Provide independent and effective review and challenge of key Capital processes (including ICAAP, Recovery and Resolution Planning, regulatory reporting) and capital programmes of work. Provide subject matter expertise, advice, guidance, and effective challenge to the Risk and Control Owners Support the activities of the Assurance team, and review and challenge the outputs from their capital assurance activities Ownership of the Capital Risk and Control Library, including minimum control standards, with input from Risk Owners, and Control Owners, specifying key risks and key controls and providing guidance on continuous monitoring expectations Support the oversight of Regulatory Reporting Risk (RRR) for Capital. Regulatory Reporting Risk is the risk that reports or notifications to Regulators are not submitted, are submitted late, or are incorrect Review stress testing processes as it pertains to capital including but not limited to the scenarios that are chosen for the stress tests and assumptions made on capital. Perform and document independent analysis on the assumptions to ensure independent viewpoint. Support and refine existing stress model assumptions and controls (limits, guidelines, model framework) Review both capital risk management policies, limits, standards, controls, metrics and thresholds and ensure they are within the defined corporate standards approved by the Board and ALCO Actively review changes in regulatory capital requirements and assess how this may affect risk appetite for the Group Build relationships with a diverse range of stakeholders across Risk, Group Treasury, Markets Treasury and front-line businesses

Role Requirements

Practical experience of capital risk management within a large international firm in either the first or second line of defence Strong knowledge of capital regulations and reporting requirements as well as Capital planning and forecasting, Risk Appetite setting, Capital Stress Testing, ICAAP and Recovery Planning Experience in reviewing regulatory change and the impact to capital processes / management / reporting Relevant Treasury Control and assurance experience and/or experience of working with Operational Risk, Internal and External Audit Has developed a high level of professionalism and competency which helps to determine solutions around appropriate risk measures, risk processes, risk monitoring and management
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