Regulatory and Risk Reporting Manager
- Recruiter
- Portman Talent
- Location
- London, England, United Kingdom
- Salary
- 55-65k
- Posted
- 15 Feb 2016
- Closes
- 17 Feb 2016
- Ref
- 1143637
- Contract type
- Permanent
- Hours
- Full time
- Experience level
- Manager
Responsibilities -
Regulatory Framework:
- Completion of various regulatory reports for the business including COREP and FINREP reporting
- Assessment of new regulations and announcements that may affect the business
- Responsibility for internal reporting to the business in respect of regulatory capital
- Preparation of annual Pillar 3 disclosures
Risk Management:
- Responsibility for the maintenance of the risk register for the business including periodic review with risk owners and impact analysis
- Responsibility for the implementation and operation of the incident reporting framework
- Responsibility for the quantification of Pillar 2 capital requirements
- Update and monitor KRIs for the business and investigation of negative trends, publication of the KRI dashboards
- Perform daily calculation of market and counterparty credit risk exposures and monitor against the regulatory capital resources for the business
- Assist with the maintenance of the Risk Appetite Statement and monitoring performance against its Risk Appetite
- Assist with the maintenance of the Risk Management Framework
- Assist with the maintenance of the Liquidity Risk Management Framework
- Assist in the development and update of the Individual Capital Adequacy Assessment Process document
- Assist in the development and update of the Recovery and Resolution Plan
- Knowledge & Expertise
- At least 2 years accounting and/or finance experience
- Experience of regulatory reporting to the FCA
- Knowledge of risk management frameworks and application to a financial services firm
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