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Date live:
Mar. 10, 2025
Business Area:
Finance
Area of Expertise:
Finance
Reference Code:
JR-0000039939
Contract:
Permanent
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Explore locationAs a Risk Manager, you will to maintain all facets of the underwriting deal flow for Fixed Income Syndicate desks: pipeline transaction if a weekly forecast, understanding the transactions at committee approval, reading commitment papers at Commitment stage, updating de-risking expectations, removing risk as appropriate, following up on expectations of transaction closing/fee recognition. You will work with business partners across Finance, Front Office, Trading, Treasury, Banking Management, etc to feed underwriting information downstream in an effort to support multiple business processes.
The ideal candidate will have experience interacting with front office individuals (banking, trading, sales, etc), have strong excel skills, attention to details, be able to work independently and collaboratively, and be self-motivated. Requirements for success includes ability to problem solve, attention to detail, and capability to stay organized and adapt in a quick paced environment.
You may be assessed on key critical skills relevant for success in role, such as risk and controls, change and transformation, business acumen, strategic thinking and digital and technology, as well as job-specific technical skills.
Purpose of the role
To provide financial expertise and support to specific business units or departments within the organisation, and act as a liaison between the finance function and various business units, helping to bridge the gap between financial data and business decisions.
Accountabilities
Assistant Vice President Expectations
All colleagues will be expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence and Stewardship – our moral compass, helping us do what we believe is right. They will also be expected to demonstrate the Barclays Mindset – to Empower, Challenge and Drive – the operating manual for how we behave.