Model Risk Framework Manager Model Risk Framework Manager …

in London, United Kingdom
Permanent, Full time
Be the first to apply
in London, United Kingdom
Permanent, Full time
Be the first to apply
Model Risk Framework Manager
As a Barclays Model Risk Framework Manager you will be responsible for supporting the design, rollout and evolution of Model Risk Frameworks. Communicating with internal and external stakeholders will be important to ensure the frameworks and their codification into Policy and Standards are well understood and appropriately integrated into the broader Barclays control framework.

Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We offer careers that provide endless opportunity - helping millions of individuals and businesses thrive, and creating financial and digital solutions that the world now takes for granted.

What will you be doing:
• Supporting in driving a sustained best-in-class Model Risk Management framework that aligns and complies with supervisory expectations
• Development and maintenance of a comprehensive training programme for the Independent Validation Unit (IVU)
• Establishing training materials and communicating with individual's subject to the frameworks to ensure the scope in policies and standards is clear to all constituents
• Staying abreast of new supervisory guidance on model risk; conducting gap analysis to identify areas of policy improvement and driving the timeline for remediation
• Being an ambassador for the Model Risk Management program, ensuring that the Model Risk Framework is communicated in a simple, clear and concise way throughout the firm
• Building and maintaining effective two-way relationships with other risk practices, finance and the business, to understand 1st line of defence feedback
• Feeding into presentations to legal entity risk committees and other relevant forums
• Interacting with Barclays Internal Audit and driving remediation actions to resolution as needed; including externally raised issues

What we're looking for:
• Ability to produce high quality written communication and presentations including training materials for technical and non-technical audiences at all levels of seniority
• Risk Governance experience including both business and technical acumen
• Knowledge of the Model Risk Group Policy and supporting standards and regulatory requirements (e.g. SR11-7) applicable to model risk management

Skills that will help you in the role:
• A Bachelor's or a Master's degree in a financial or technical field
• Experience in multiple areas of risk including knowledge of the Banking regulatory environment
• Direct experience in developing frameworks and translating them into standards and procedures
• Proven track record of delivery under tight deadlines

Where will you be working?
In the heart of Canary Wharf, our headquarters at Churchill Place boasts onsite amenities such as; a gym, staff restaurant and deli bar, and is easily accessible by tube and bus links. With a population of around 5000 staff the atmosphere is second to none with a real buzz being created around the offices within.

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