Manager, Financial Stability

Ernst & Young, Poplar, Greater London

Manager, Financial Stability

Salary not available. View on company website.

Ernst & Young, Poplar, Greater London

  • Full time
  • Temporary
  • Remote working

Posted today, 24 Oct | Get your application in now to be one of the first to apply.

Closing date: Closing date not specified

job Ref: 2e579cc67ad64200a2e57dc5c32faa19

Full Job Description

This is a great opportunity to join the team at Manager level and be involved in the following activities:

  • Take a lead role in delivering FS Risk projects to the highest quality standards
  • Be at the forefront of latest UK and international regulatory developments and our clients' response
  • Prepare reports and schedules that will be delivered to clients and other parties
  • Build strong internal relationships within Business and Technology Consulting and across other services
  • Lead internal campaigns and participate in go-to-market solution development
  • Develop people through effectively supervising, coaching, and mentoring all levels of staff
  • Conduct performance reviews and contribute to performance feedback for all levels of staff

    Start Date Expiry Date Salary Posted On Experience Skills Telecommute Sponsor Visa
  • Immediate 21 Jan, 2025 Not Specified 22 Oct, 2024 N/A Report Writing,Interpersonal Skills,Documentation,Working Environment,Communication Skills No No,
  • Strong analytical and problem-solving skills and the ability to present complex information in a clear and concise manner
  • Good communication and interpersonal skills with the ability to communicate effectively at all levels with clients and internally
  • Strong written communication skills, including report writing and documentation
  • Excellent relationship building skills
  • Team player, ability to work under pressure and to deadline
  • Experience in leading projects and developing complex reports / analysis
  • Experience in effectively managing senior stakeholders
  • Keen desire to continue developing and integrating quantitative / qualitative skills within both a challenging and rewarding commercial environment
  • Ability to drive business development and contribute to the growth of the EY market solutions
  • Ability to lead engagement teams and foster a collaborative working environment for all levels, Strong academic background. Ideally a Bachelor's degree in Finance, Economics, Accounting, Engineering or a related field (or demonstrate aptitude for working in a technical environment through experience in treasury / finance function at a Bank or regulator)
  • Extensive knowledge of prudential regulation landscape and impact on financial institutions, along with the skills and experience to work with clients on practical solutions
  • Experience in or exposure to any the following: Stress testing; Capital planning; Credit risk management; ICAAP or ILAAP or Recovery Plan production; Prudential Regulatory reporting; Market risk management; Asset and liability management; Interest Rate in the Banking Book; Treasury; Climate Risk; Banking or asset management industry with products knowledge
  • Previous consulting experience would be ideal, but is not essential
  • Previous experience within the Risk or Treasury team in a bank or investment firm
  • Previous experience at the Bank of England, FCA or other regulatory bodies
  • Experience in or exposure to any the following: Stress testing; Capital planning; Credit risk management; Market risk management; Asset and liability management; Treasury; Banking or asset management industry and products