Valuation Model Governance Risk Management Financial Instruments
Are you experienced in the valuation, model governance or risk management of financial instruments?
We are currently working with a leading consultancy who are looking for a Senior Manager to join their financial instruments valuation and advisory team. This team provides financial instrument valuation, valuation governance and model risk advisory services to the firm’s clients as well as valuation services internally.
You will be a Senior Manager within the London based team, this is a fantastic opportunity to work in a fast paced business alongside a team that has grown significantly over the past year and is forecast to continue this growth both in size and new areas of work.
Your key responsibilities will include:
As a Senior Manager on model risk advisory projects you will take a lead in the team’s banking model services proposition, including
This role would be ideal for someone with:
At least an undergraduate degree in a quantitative subject.
Finance Portfolio Management Credit Risk Regulatory Requirements Risk Management Analytical Skills New Business Opportunities Stakeholder Management Structured Finance Loan Origination
Structured Finance Portfolio Management Risk Market Practice
Modelling Analyst Excel VBA Pyhton R Quantitative
Project Finance Structured Finance Investment Banking Origination Business Development Sales Analyst Natural Resources Power Energy Renewable Energy Renewables
Quantitative Regulatory Data Extraction Machine Learning
Software Developer Model Developer Financial Derivatives Valuations
Due to reasons of confidentiality, there are additional mandates we are actively working on that are not advertised.
If you are currently working in one of our specialist areas and are keen to explore new opportunities,please reach out to one of our experienced consultants, discretion is assured and all communications will be strictly confidential.