Global Markets Governance, Risk and Controls
Listed on 2026-09-17
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Finance & Banking
Risk Manager/Analyst, Financial Compliance, Regulatory Compliance Specialist
End Date Sunday 27 September 2026 Salary Range £0 - £0 We support flexible working – Flexible Working Options Job Share Job Description Summary . Job Description
JOB TITLE:
Global Markets Governance, Risk and Controls
LOCATION:
London
HOURS:
Full-time SALARY:
Competitive Salary Package
What you’ll be doing:
As part of the Governance, Risk and Controls team, the role forms part of Business, Risk and Resources within the LBCM Global Markets business. This role will play a key part in delivering the team's objective of providing a robust, scalable and globally consistent First Line risk framework across Global Markets.
- Act as the First Line of Defence subject matter expert for Private Side Business Risk, Operational, Resilience and Model Risk across Global Markets
- Support the development, maintenance and continuous enhancement of the Global Markets risk and control framework, ensuring alignment with risk appetite, regulatory expectations and governance standards
- Lead and coordinate key risk management activities including Risk & Control Self-Assessments (RCSAs), risk events, issue management, attestations and governance actions
- Monitor the effectiveness of key controls, challenge control weaknesses and drive sustainable remediation through root-cause analysis and action tracking
- Oversee the management and closure of audit, regulatory and risk actions, ensuring appropriate evidence, governance and traceability
- Provide governance and oversight of private side activities, including information barrier, conflicts management and associated conduct risk controls
- Maintain oversight of model governance activities, including model inventories, lifecycle requirements, validation findings, approvals and remediation actions
- Build strong relationships across Front Office, Technology, Operations, Risk, Compliance and Audit functions, influencing sound risk-based decision making while promoting a strong risk and control culture
If you think all banks are the same, you’re wrong. We’re a pioneering, fast-changing business that’s shaping finance as a force for good. If you’re after a role where you can have an impact and do the best work of your career, you’ve just found it.
What we’re looking for?Proven experience within First Line Global Markets Risk and Controls or COO Strong understanding of Global Markets (Sales, Trading, Financing) products, front-to-back trading processes and associated non-financial risks. Knowledge of relevant regulatory expectations affecting Global Markets, including Model Risk requirements. Experience managing audit findings, regulatory actions, risk events and remediation programmes. Strong stakeholder management and influencing skills across all levels of seniority.
Collaborative attitude with the ability to work across business, risk and technology teams. Self-motivated, proactive and focused on continuous improvement.
Our ambition is to be the leading UK business for diversity, equity and inclusion supporting our customers, colleagues and communities, and we’re committed to creating an environment in which everyone can thrive, learn and develop. We were one of the first major organisations to set goals on diversity in senior roles, create a menopause health package, and a dedicated Working with Cancer Initiative.
We offer reasonable workplace adjustments for colleagues with disabilities, including flexibility in office attendance, location and working patterns. And, as a Disability Confident Leader, we guarantee interviews for a fair and proportionate number of applicants who meet the minimum criteria for the role with a disability, long-term health or neurodivergent condition through the Disability Confident Scheme. We provide…
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