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Market Risk Change and Controls Manager (FTC)

Location: London, England

Category: Bank Jobs

Join us in Financial Risk Oversight (FRO) TREC team on a fixed term contract basis until April 2026, where you'll provide insightful, high-quality analysis, advice and guidance, implement transformational change and system/operational enhancement tailored to Business and Senior colleague needs.

Day to day, you will:

Provide Market Risk SME input and act as the Market Risk point of contact for assigned initiatives, support Senior Manager and Leadership Team to analyse and understand business problems, critically evaluate business ideas from a customer and commercial point of view.

Analyse specified problems and issues to find the best business and/or technical solutions. This includes assessing current and future state requirements from partners, performing gap analysis of change impacts, identifying target solutions and driving delivery of preferred options.

Develop test approaches and execute testing to ensure changes to be implemented are performing as expected.

Liaise with key partners (Business and Technology) within and outside Market Risk in the capacity of a lead business analyst or project manager.

Manage and deliver change initiatives using optimal approach and good practice; skills demonstrated include effective requirement gathering and analysis, planning, documentation, stakeholder management, issue resolution, testing and deployment.

Deliver outcomes by managing self and/or others, work within established systems while continuously looking for improvement opportunities; use own judgment as to when complex issues require escalation.

Develop network to source data and information to enable timely recommendations and advice. Engage with colleagues and teams, anticipating, clarifying and shaping requirements for the purpose of optimising business results.

Work in other Market Risk areas when required, including performing BAU Operational and/or Compliance activities.

Why Lloyds Banking Group

We’re on an exciting journey and there couldn’t be a better time to join us. The investments we’re making in our people, data, and technology are leading to innovative projects, fresh possibilities, and countless new ways for our people to work, learn, and thrive.

What you’ll need:

Proven working risk knowledge with experience in market risk function

Knowledge of risk management practices, traded products and knowledge of key market risk measures (VaR, sVaR, ES, etc).

Experience with change lifecycle and Agile Scrum/Kanban delivery methods

Strong problem-solving skills and good at information sharing and up-skilling others; can work both collaboratively and independently

Communicate effectively, delivering complex information simply and concisely

And any experience of these would be really useful:

Knowledge of Murex platform

Knowledge and experience delivering Regulatory and transformational changes

Knowledge of Counterparty Credit Risk

Advanced use of Microsoft Office suite

Advanced use of VBA and SQL

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