Because the Bank is unique the role is too and offers far more variety and responsibility than a similar role in a mainstream bank.
The successful candidate will be responsible for managing the financial risk for the Wholesale and Guarantees business which includes a range of programmes and schemes.
This will involve conducting a broad range of risk analysis at both a transactional and portfolio level.
The Senior Risk Manager will have a delegated authority level and attend Investment Committee meetings.
Previous experience of financial risk management is essential ideally having worked in wholesale, securitisation, structured finance, guarantees and wholesale markets. This should include financial modelling, data analysis, credit rating methodologies including default models.
The role can be based in London or Sheffield with flexible working part of the week when it is safe to return to the office.
Location: London / Sheffield / Remote