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20 days ago
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Front Office Financial Resource Manager


UBS
Location: London
Job type: Permanent
Category: Cost Jobs
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Front Office Financial Resource Manager

United Kingdom

Risk, Sales and trading

Investment Bank

Job Reference #

227793BR

City

London

Job Type

Full Time

Your role

We’re looking for a Front Office Financial Resource Manager to:
Work within the Global Financing Business on the management and optimization of our financial resources: risk weighted assets (RWA) and leverage ratio denominator (LRD)
The initial focus of the role will be Counterparty Risk Weighted assets but with scope to expand to cover the whole of our Financial resources.
The initial counterparty RWA role involves:
• the day to day management of our RWA (identifying and challenging overstatements and seeking optimization opportunities)
• client RWA analysis to help assess client return metrics and the pricing of new business
• management of strategic projects to generate structural RWA optimizations
• analysis and mitigation of the impact of future regulatory change
• managing to the business level RWA limits set
• educating the broader Financing business on RWA
• the development and continual improvement of transparent RWA reporting to management and other internal stakeholders and RWA analysis tools

Your team

You’ll be working as part of the Front Office Financial Resource Management team within the Financing business in London. The Financing business covers Equity Prime Brokerage, FX Prime Brokerage, Global Synthetic Equity, Listed Derivative Clearing and OTC Clearing business areas.

The team is global with people also based in New York and Hong Kong

Your expertise

• 3 to 5 years experience working within financial markets with a focus on financial resource management, risk management (front office risk or market risk), trading or in a role with considerable exposure to this business area.
• broad product knowledge of the Financing products listed above – including derivatives
• fluency in main financial risk and capital models, such as Value at Risk and the Basel capital rules
• highly organized, hands-on, proactive and enthusiastic. Capable of distilling technical analysis
• strong IT skills and systems experience preferably with some coding experience (i.e. Python, VBA, SQL or C++).
• Bachelor, Master degree or equivalent in a quantitative area such as Mathematics, Computer Science or Engineering
Share

Front Office Financial Resource Manager

United Kingdom

Risk, Sales and trading

Investment Bank

Job Reference #

227793BR

City

London

Job Type

Full Time

Your role

We’re looking for a Front Office Financial Resource Manager to:
Work within the Global Financing Business on the management and optimization of our financial resources: risk weighted assets (RWA) and leverage ratio denominator (LRD)
The initial focus of the role will be Counterparty Risk Weighted assets but with scope to expand to cover the whole of our Financial resources.
The initial counterparty RWA role involves:
• the day to day management of our RWA (identifying and challenging overstatements and seeking optimization opportunities)
• client RWA analysis to help assess client return metrics and the pricing of new business
• management of strategic projects to generate structural RWA optimizations
• analysis and mitigation of the impact of future regulatory change
• managing to the business level RWA limits set
• educating the broader Financing business on RWA
• the development and continual improvement of transparent RWA reporting to management and other internal stakeholders and RWA analysis tools

Your team

You’ll be working as part of the Front Office Financial Resource Management team within the Financing business in London. The Financing business covers Equity Prime Brokerage, FX Prime Brokerage, Global Synthetic Equity, Listed Derivative Clearing and OTC Clearing business areas.

The team is global with people also based in New York and Hong Kong

Your expertise

• 3 to 5 years experience working within financial markets with a focus on financial resource management, risk management (front office risk or market risk), trading or in a role with considerable exposure to this business area.
• broad product knowledge of the Financing products listed above – including derivatives
• fluency in main financial risk and capital models, such as Value at Risk and the Basel capital rules
• highly organized, hands-on, proactive and enthusiastic. Capable of distilling technical analysis
• strong IT skills and systems experience preferably with some coding experience (i.e. Python, VBA, SQL or C++).
• Bachelor, Master degree or equivalent in a quantitative area such as Mathematics, Computer Science or Engineering
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