I am working with a banking business that focusses on serving the markets space across FICC, with a global reach, who are actively hiring an Internal Audit Manager to focus on their risk management portfolio.
Covering all financial risk stripes with a focus on model risk, this is an opportunity for an individual with a risk leaning to broaden their exposure across multiple risk stakeholder group.
The successful candidate will have:
- 6 - 8 years’ experience within Credit OR Market Risk Management, gained within internal audit, or the business (Validation/Development) with exposure to Counterparty Credit Risk considered a bonus.
- Strong quantitative intuition and the ability to demonstrate developing successful relationships with quantitative stakeholders
- Some exposure to the models relevant to the operations of my client, with an intellectual curiosity to further that knowledge and experience
- Understanding of key Credit OR Market risk regulations
- Excellent writing, analytical & interpersonal skills
- Demonstrable stakeholder management experience
Responsibilities:
- Lead less audits end-to-end while managing senior stakeholders on a continuous basis
- Complete full testing for key controls throughout assigned audit to conclude the operational effectiveness
- Stick to strict timescales and deliver audits effectively
- Seek further personal development from not only a technical perspective but also cultural
- Work collaboratively across the risk/business areas of the business audit matrix across assigned audit projects