About the Company
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around the world, as well as a top-tier, full-service, global corporate and investment bank, all of which are supported by our service company. We operate in over 40 countries and employ approximately 83,500 people. We are committed to helping people achieve their ambitions in the right way.
Job Description
As a Risk Analyst at Barclays in Manchester, you will play a crucial role in identifying, assessing, and mitigating financial and operational risks across various business lines. You will contribute to the development and implementation of robust risk management frameworks, ensuring compliance with regulatory requirements and internal policies. This position offers a dynamic environment where you can apply analytical skills to complex financial challenges and support strategic decision-making.
Key Responsibilities
- Conduct quantitative and qualitative analysis of market, credit, operational, and other financial risks.
- Monitor risk exposures against established limits and report breaches to senior management.
- Develop and maintain risk models, tools, and methodologies.
- Prepare detailed risk reports and presentations for various stakeholders.
- Collaborate with business units to understand their risk profiles and provide tailored risk advice.
- Assist in the implementation of new risk policies and regulatory changes.
- Participate in stress testing and scenario analysis exercises.
- Contribute to the continuous improvement of risk management processes.
Required Skills
- Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
- Minimum of 3 years of experience in a risk management role within financial services.
- Strong analytical and problem-solving abilities.
- Proficiency in data analysis tools (e.g., Excel, SQL, Python, R).
- Solid understanding of financial products and markets.
- Knowledge of risk management principles and regulatory frameworks (e.g., Basel, CRD).
- Excellent communication and presentation skills.
Preferred Qualifications
- Master's degree or professional certification (e.g., FRM, CFA).
- Experience with risk management software platforms.
- Familiarity with UK financial regulations.
- Ability to work independently and as part of a team in a fast-paced environment.
Perks & Benefits
- Competitive annual salary and performance-based bonuses.
- Comprehensive private healthcare and dental plan.
- Generous pension scheme contributions.
- Life assurance and income protection.
- Flexible working options and a hybrid work model.
- Extensive learning and development opportunities.
- Employee assistance program and well-being initiatives.
- Discounted banking products and services.
How to Apply
Interested candidates are invited to submit their application by clicking the "Apply Now" button below. To ensure your application is considered, please include the following:
- A current resume
- A cover letter outlining your suitability for the role and your motivation for applying.
We review applications on a rolling basis and will contact shortlisted candidates for an interview.
DISCLAIMER
Welcome to VitalaliCare.com. We provide job seekers with information gathered from various publicly available job posting websites. We do not charge any fees for accessing or using our website, and all job information is provided free of charge.
VitalaliCare.com does not directly offer, manage, or engage in the hiring process for any of the job listings featured on our website. All listings are sourced from third-party job posting platforms. If you have any concerns or need to report a scam, please contact us at techturna@gmail.com.