Market Risk SME
£1155.89 p/d Umbrella
London, Hybrid 2/3 days a week
6 month contract
Role:
The role holder is required to be a subject matter expert within Market Risk, to support the Head of Market Risk Transformation by bringing deep Market Risk expertise to the portfolio of Market Risk Transformation projects.
This is within the Traded Risk workstream that aims to develop a Traded Risk function with systems and capabilities to manage an evolving and complex traded and market risk environment which leverages industry leading analytic practices and technology to deliver regulatory models to support the Group strategy.
Transformation:
The role holder will work in Risk and Compliance Transformation (RCT) which manages the Change the Bank investment portfolio and associated transformation activity on behalf of and across the Risk and Compliance function globally. It is accountable for the global, cross functional change agenda, delivering mandatory/regulatory and strategic change programmes on behalf of Global Risk and Compliance, in partnership with regional teams and in support of business partner control needs. It designs, leads and delivers large scale, complex global change across multiple geographies and jurisdictions, impacting regions and business lines, including system, people and process changes, ensuring the change programmes adhere to the change standards laid out by HSBC and using mandated tools and methods.
Risk and Compliance Transformation is part of the Chief Operating Office (COO) sub function which is responsible for providing services to ensure the efficient and effective management and operational running of the function.
Function:
The Global Risk and Compliance function has responsibility for risk management covering retail and wholesale credit, market trading and treasury, operations, security and fraud risk, climate, risk models and risk strategy together with financial crime and compliance. This is done in support of HSBC’s regions and global lines of business
Knowledge
• Excellent knowledge of Market Risk
• Understanding of how change drives benefits for stakeholders
• Knowledge of the external environment – regulatory, political, competitors etc.
Experience
• Proven track record within Market Risk
• Proven ability to work across regions whilst maintaining a global perspective
• Demonstration of commerciality with strong financial acumen
• Proven ability to work with senior stakeholders and business sponsors
Capabilities
• Delivery at Pace
• Engaging and influencing with Customers/Stakeholders/Colleagues
• Global Mindset
• Managing Change and Implementation
• Problem Solving & Critical Thinking
• Working in a dynamic environment
• Working Responsibly
If you are interested, please do not hesitate to apply, either apply direct or reach out at Max.Stylianides@tapfin.com
Please note, in the event of a high volume of applications for this role, we will not be able to respond to each individual applicant. Unfortunately, if you have not been contacted within 7 days we will not be progressing with your application. Thank you for your understanding