Treasury Investment Risk
- Recruiter
- Goodman Masson Limited
- Location
- England, London
- Salary
- £90000 - £120000 per annum
- Posted
- 17 Feb 2017
- Closes
- 24 Feb 2017
- Ref
- NATINV(0217)
- Contact
- Goodman Masson
- Job Title
- Treasury
- Category
- Energy / Utilities
- Experience Levels
- Director
- Contract Type
- Permanent
- Hours
- Full Time
A leading international company is now recruiting for a Treasury Investment Risk Expert.
The successful candidate will be from a large MNC or banking background within Investment Risk and have experience in this field for over 10 years. A contracting background will not be suitable.
This role independently monitors the risks associated with the short-term investment activities of the global Treasury team, including the development of the risk management framework, controls, limit setting and valuations of all type of financial investments.
This role oversees risk mitigating programs, compares industry best practice with current operations to analyze whether exposures are being managed efficiently. He/she will provide findings and recommendations to management teams, including Treasurer and CFO and assist in the implementation of the proposed solution to the business team.
Main Responsibilities:
*Identify, measure and control all the risks related to financial investments
*Value on a daily basis the assets of the portfolios and be capable to identify wrong valuations
*Run and develop daily controls of limits and procedures related to investments
*Provide assistance to the investment teams with all their inquiries and needs
*Assist in the process to build new tools and procedures to measure and control the investment risks
The successful candidate will be from a large MNC or banking background within Investment Risk and have experience in this field for over 10 years. A contracting background will not be suitable.
This role independently monitors the risks associated with the short-term investment activities of the global Treasury team, including the development of the risk management framework, controls, limit setting and valuations of all type of financial investments.
This role oversees risk mitigating programs, compares industry best practice with current operations to analyze whether exposures are being managed efficiently. He/she will provide findings and recommendations to management teams, including Treasurer and CFO and assist in the implementation of the proposed solution to the business team.
Main Responsibilities:
*Identify, measure and control all the risks related to financial investments
*Value on a daily basis the assets of the portfolios and be capable to identify wrong valuations
*Run and develop daily controls of limits and procedures related to investments
*Provide assistance to the investment teams with all their inquiries and needs
*Assist in the process to build new tools and procedures to measure and control the investment risks