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Barclays , Assistant Vice President , Basel IV

  • 7-12 yrs
  • Not Disclosed

Job Description

What will you be doing?Portfolio MI Reporting (35%), Help ensure regular delivery of standardised Risk Information packs to agreed stakeholders., Adhere to completeness, accuracy and timeliness principles of Risk Data Aggregation and Reporting., Optimal mix of automation and portfolio insights so as to ensure that Risk Information is consistent, accurate and actionable., Provide accurate Risk Information in compliance with Group and regulatory requirements, Development of new Risk Information suites, datamarts and self,serve utilities as requiredStrategic Projects (25%), Drive execution of key strategic and regulatory projects including BCBS239 and IFRS9 within RIS , Understand portfolio requirements and contribute to enhanced risk analysis through sustained interaction and collaboration with the stakeholders, Formulate opportunities into proposals and implement key internal Projects to support portfolio and overall RIS requirements, Carry out investigations, reconciliations and analysis to explain trends, outliers, peaks and troughs demonstrating high data and information qualityImproving Internal Processes, Quality (20%), Identify new opportunities for enhancing, streamlining capital and risk information service, Develops new and innovative reporting to deliver improved insight in an efficient manner that meets the needs of stakeholders., Mentor team members to automate their processes., Evolves reporting requirements to meet changing business needs and continually seeks process improvement opportunities and recommend solutions., Initiatives to improve and automate processes to minimize errors and reduce effortManagement of Data (15%), Supporting the management, testing and governance of changes to specific databases (for example changes to existing queries, new queries), Data quality management and monitoring testing and development of Barclays Bureau, BIW2.0 and QlikView & Actuate based Reporting utilitiesGovernance and Control (5%), Comply with the Capital and Risk Information services governance framework, change management requirements, EUDA and process review requirements and BCBS239 compensating control requirements., Ensure stakeholders are engaged and sign,off all relevant documentsWhat we, re looking for:, Degree in Bachelors, in Engineering , Bachelors, in Technology or Masters in Statistics, Mathematics, Economics, Operational research field, Engineering, Masters in Business Administration, Strong verbal, written and presentation communication skills and ability to explain complex issues to a wide range of stakeholders, Good overall knowledge of the Bank's processes, together with a comprehensive understanding of the Capital and Risk Management, Automation , Ability to analyse, design and automate process, Drive and support data driven decision making, Technology management, engaging with stakeholders to understand the requirement and with technology team to formulate the solutions, Working knowledge of SQL, Advanced SAS, Visual Basic, Database , Teradata, SQL, Access, Big Data, Statistical Tools , SAS, Python, Commercial judgement and awareness. , Proven people, process and systems understanding, Ability to challenge and to be innovativeSkills that will help you in the role:, Financial,Statistical,Budgetary MI Production experience including specific use of appropriate software, e.g. Excel. Access, SQL, Visual Basic, Advance SAS, Knowledge of , experience in Business Intelligence development , Experience with Project management tools (JIRA, MS Project) and the MS suite ( Word, excel, ppt, Visio and sharepoint skills)