including important asset classes ( Fixed Income, Equities, Commodities, including Derivatives), types of stakeholders (Institutional Investors, Exchanges, Asset Managers, Regulators), Risks Assessment, New Regulations (e.g. BaselIII/IV). Working knowledge of important Sustainable Finance standards. This includes financial products such as Fixed Income (ICMA Green Bonds Principles more »
onsite, Tuesday & Wednesday ) Context: Finance has mobilised the Integrity of Regulatory Reporting Programme (“IRR”) to transform the Finance operating model and control framework. The Basel 3.1 Operating Model & Data Management Controls (“B3.1 OMDMC”) team plays a key role in implementing the IRR requirements for PRA reporting. A key requirement more »
deliver to a set of expected standards being set by the Regulatory Reporting Assurance programme, and delivers to a standard playbook defined by the Basel 3 Reforms central Operating model and controls function. The role holder will be working with process owners, service owners and Risk and Control colleagues … to define the operating model that will be in place following the implementation of the Basel 3 Reforms, and to define any interim operating models required until the reforms are implemented. This operating model will include process maps, definition of roles and responsibilities, governance forums and hand offs between … in the Operating Model and Controls team, which is a central global team established to oversee delivery of operating model and controls for the Basel 3 Reforms programme. Key Accountabilities: To document the business process controls, IT general controls and Business Application Controls and ensure full syndication and approval more »
and driving their operational risk framework, ensuring the Bank's continued success and stability. Must Haves: Second Line Operational Risk Experience Capital Markets Experience Basel 3.1 Experience Make an Impactful Difference: Lead and empower a talented Operational Risk team, serving as the Second Line of Defence. Oversee the daily more »
Regulatory Policy Manager - 9 months + - Contract - £960 a day inside - Hybrid Regulatory Policy manager, Credit risk, Compliance, Basel, PRA Working with a leading global banking client to secure the services of a Regulatory Policy Manager for London. The role holder will lead on regulatory interpretation of regulatory requirements … the review and response to proposed rulemaking by regulators designed to address the changing environment that banks operate within, such as regulatory developments for: Basel 3.1; Climate risk; and Artificial intelligence/machine learning (AI/ML). In this role, you will: Review and opine on existing and more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »
and iterative environment, including running scrum project as a scrum master and/or product owner. Experience in implementing UMR (Unclear margin regulation) and BaselIII is preferred. Financial industry experience required including functional knowledge of financial instruments like derivatives, FX trades, swaps, caps, cash etc. Experience with more »