Risk and Finance Data Governance

I''m currently working on an exciting opportunity with a leading financial institution in London, who are looking to hire a Risk and Finance Data Governance Analyst (AVP level) to join their growing EMEA Data Office. This role plays a key part in supporting the firm''s BCBS239 programme, focusing on improving data governance across Risk and Finance domains. The rate is 500 inside IR35 and 3 days in office (London) Key Requirements: Strong experience in data governance, data quality, and metadata management Solid understanding of BCBS239 and regulatory reporting (e.g. LCR, COREP, PRA110) Exposure to Risk and Finance data domains Hands-on experience with tools like Collibra, SQL, Python, or VBA Proven ability to engage and influence senior stakeholders Experience working in regulated financial environments This is a great opportunity to join a team at the forefront of data-led transformation, with strong growth plans and a collaborative, forward-thinking culture. Please click here to find out more about our Key Information Documents. Please note that the documents provided contain generic information. If we are successful in finding you an assignment, you will receive a Key Information Document which will be specific to the vendor set-up you have chosen and your placement.To find out more about Huxley, please visit (url removed)Huxley, a trading division of SThree Partnership LLP is acting as an Employment Business in relation to this vacancy Registered office 8 Bishopsgate,
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