Job Title: Risk Analytics manager
Duration: 6 months with possible extension
Location Hybrid, 3 days remote 2 days in London
Rate: Up to £775 per day via an approved umbrella company
The role is located in Group Risk and has global reach through the scope of credit risk models provided to the business. The jobholder is required to work in an environment of significant ambiguity, dealing with major issues for which there is no clear solution whilst still being able to give meaningful input. The jobholder is expected to demonstrate a high level of technical expertise, good communication skills and ability to work in a team.
Knowledge & Experience / Qualifications
- University degree in a quantitative or technical field
- Deep understanding of statistics and familiarity with sophisticated tools for numerical analysis
- Strong data management and system deployment skills
- Excellent knowledge of wholesale credit process and products
- Significant relevant working experience in a bank, rating agency, consultancy or advisory firm
- Ability to prepare clear and effective presentations, training's and workshops
- Open personality and effective communicator, ability and flexibility to work in an international team
- Ability to write clear and understandable documents
- Ability drive delivery of projects within the agreed time scale, in liaison with all relevant stakeholders: team colleagues, model owners, credit, business, IT, senior management and regulators.
If this is the role for you please submit your CV at your earliest convenience.