Expoint – all jobs in one place
The point where experts and best companies meet

Vice President Business Control Risk Analysis jobs at Bank Of America in United Kingdom, London

Discover your perfect match with Expoint. Search for job opportunities as a Vice President Business Control Risk Analysis in United Kingdom, London and join the network of leading companies in the high tech industry, like Bank Of America. Sign up now and find your dream job with Expoint
Company (1)
Job type
Job categories
Job title (1)
United Kingdom
London
56 jobs found
08.09.2025
BOA

Bank Of America Cross Asset Quant - Vice President United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:


Responsibilities:

  • You will be assisting the Cross Assets Strats team as part of the Strategic Risk and PnL project to re-factor and redesign our market model code.

  • This project seeks to explain the risk and PnL of the Global Markets business in a strategic fashion

  • Working as part of a team of 8 people, you will be writing and debugging code in Python, running within Quartz, the in-house bank platform.

  • On-going learning about and debugging existing market model code used for calculating risk and PnL, simplifying and optimizing it to perform more efficiently.

  • Programming ability is most highly prized. Financial knowledge is desirable but not strictly necessary, provided there is a willingness to learn.

What we are looking for:

  • You are passionate about programming and are comfortable with a variety of programming languages and paradigms

  • You have previously written a scripting language, or at least know how you might go about it

  • You appreciate functional programming concepts and writing algorithms in a functional style

  • You have good mathematical abilities and want to learn more about using mathematical techniques to analyse data

  • You have financial and quantitative knowledge, and would like to learn more

Key Requirements

  • Proficient in Python, C++, Java, Lisp or other

  • Excellent analytical skills

  • Good communication skills

  • Bachelors or master’s degree in computer science, Mathematics, Finance or related field

UK

  • At Bank of America, we strive to prioritise employees’ health and wellbeing – it’s what makes us a Great Place to Work.

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner.

  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons.

  • We offer 26-weeks paid maternity leave, 16-weeks paid paternity leave and inclusive family leave arrangements for working parents and carers including 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness, cycle to work etc.

  • Access to free counselling through the Employee Assistance Program and virtual GP services through our private health care plan.

  • Access to an Employee Assistance Program for confidential support and help for everyday matters.

  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution.

  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.

  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
08.09.2025
BOA

Bank Of America Global Markets Risk Executive United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:

Job Description:

Job Title:Global Markets Risk Executive

Managing Director

Role Overview:

Key responsibilities include ensuring global consistency of policies, procedures, analysis, monitoring and reporting of market risk for each product area. Job expectations include interfacing with the product Trading/Marketing Heads and the product Heads of other Risk and Support Groups (i.e., Compliance, Finance, Operations, etc.).

Responsibilities:

  • Implements the new/complex product approval process and limits approval authority and reporting of market risk.

  • Oversees identification of market risk exposures and mitigation strategies and resolution in accordance with the bank's risk appetite and limits identified, as well as regulatory requirements, as applicable.

  • Oversees risk requests, breach remediations, and provides risk effective challenges for the Front-Line units.

  • Provides insight into the development of market risk coverage plans, execution of monitoring, testing and risk assessments, and market risk reporting for the specific products.

  • Understands market trends and their impact on portfolio, using knowledge of stress testing and its applicability to market risk.

  • Ensures adherence to the policies and procedures established by the Firm.

What we are looking for:

  • Previous experience as a Senior Market Risk Manager/Lead working directly with the Front Line and performing risk analysis is desirable.

  • Ability to build strong relationships with the Front Line while maintaining independence, including handling disputes, negotiating with traders, and ability to uphold risk frameworks.

  • Good understanding of macroeconomic and political developments and their impact on financial markets, and interdependencies between asset classes, especially how these change during a market crisis.

  • Ability to multitask in a dynamic environment.

  • Strong communication skills including impeccable writing skills for external documentation.

  • Solid academic background, which may include a postgraduate qualification.

  • Excellent analytical skills and knowledge of FICC products, markets, and risk management.

UK

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner.

  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons.

  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness etc.

  • Access to an emotional wellbeing helpline, mental health first aiders and virtual GP services.

  • Access to an Employee Assistance Program for confidential support and help for everyday matters

  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution.

  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.

  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
08.09.2025
BOA

Bank Of America VP Credit Risk Officer - Special Assets Group United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:

The Credit Risk Officer (CRO) role is a senior analytical and strategic resource within the Special Assets Group (SAG), supporting SAG Senior Portfolio Officers (POs) in managing criticized/classified commercial loan portfolio. This includes structuring and underwriting of credit facilities, providing financial and collateral analysis, drafting credit approvals, asset quality forecasting, monitoring covenant compliance and adherence to regulatory requirements.

Responsibilities

  • Provide analytical support to SAG POs in developing and executing loan workout, restructuring, and recovery strategies
  • Prepare credit approval packages, risk rating analyses, asset quality forecasts, and restructuring recommendations
  • Monitor covenant compliance, borrower performance, and collateral adequacy
  • Participate in client meetings, negotiations (as appropriate), and strategy sessions with internal/external stakeholders
  • Contribute to regulatory reporting, internal audits, and governance processes
  • Participate in strategic projects to support business goals
  • Build strong partnerships with internal partners, including Corporate Banking, Investment Banking, Legal, Risk, and Finance
  • Develop and maintain a deep understanding of the product spectrum and portfolio at the client, industry, and macro level to assess risk and craft value added solutions

What we are looking for:

  • Experience in commercial workout, credit risk management, or commercial loan underwriting related experience
  • Strong knowledge of commercial loan structures, corporate finance, and financial statement analysis
  • Familiarity with syndicated and agented loan structures, including multi-lender negotiations
  • Excellent written and verbal communication skills, with demonstrated ability to produce clear, persuasive materials for senior audiences
  • Proven ability to manage multiple priorities and meet tight deadlines in a high-pressure environment
  • Experience working in Corporate Workout, Leveraged Finance, Structured Credit, Distressed Debt Advisory, or a Restructuring team (bank, advisory, or buy-side)
  • Experience with collateral valuation, liquidation analysis, and capital markets transactions related to distressed assets
  • Proactive self-starter, motivated and with an aptitude to learn quickly under pressure in a fast-paced environment with the ability to manage within tight deadlines

Skills that will help:

  • Credit and Risk Assessment
  • Critical thinking and problem solving
  • Financial modeling and analysis
  • Knowledge of loan documentation and credit agreements
  • Interpret relevant Laws, Rules, and Regulations
  • Collaboration and cross-functional teamwork
  • Strong oral and written communication
  • Ability to synthesize complex data and present clear, actionable recommendations

UK

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner
  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons
  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum
  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness etc.
  • Access to an emotional wellbeing helpline, mental health first aiders and virtual GP services.
  • Access to an Employee Assistance Program for confidential support and help for everyday matters
  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution
  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.
  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
08.09.2025
BOA

Bank Of America Analyst/Associate Credit Risk - Corporates GCIB United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:

Job Description:

Job Title:Credit Risk Analyst/Associate - Corporates Credit

Analyst or Associate

Role Description

GCIB Credit is responsible for analysing and delivering credit underwriting debt financing solutions and derivative strategies for medium and large corporate clients of GCIB & Global Markets (GM). GCIB includes Corporate Banking and Investment Banking and GM includes Sales & Trading. The group provides services to middle-market and large corporations, government entities and institutional investors. Services including mergers and acquisition advice, equity and debt capital raising, corporate lending, sales and trading in fixed income, commodities, currency and equities, risk management, research, and liquidity and payments management.

Responsibilities

  • Perform financial and credit analysis, risk rating analysis ensuring adherence to prevailing credit policy and procedures for an assigned portfolio.
  • Independently assess credit worthiness, perform intensive qualitative and quantitative due diligence of prospective borrowers and/or trading counterparties and establish appropriate terms and conditions to mitigate risk.
  • Structuring transactions, underwriting and negotiating credit documentation designed to meet both client and investor needs including credit agreements, amendments, derivative documentation.
  • Ensuring granularity of the portfolio with specific reference to targets for net country/credit capital, legally binding commitments, total exposure and asset quality.
  • Establish appropriate internal risk ratings for clients and implement accurate adjustments throughout the client’s credit life cycle.
  • Ensuring that the portfolio and credit management process are at all times rated "satisfactory" by internal auditors, the Credit Review group and external Regulators.
  • Develop and maintain a deep understanding of the product spectrum and portfolio at the client, industry, and macro level to assess risk and craft value added solutions balancing risk.
  • Develop, maintain, and manage internal relationships with business partners including Corporate and Investment Bankers, Sales & Trading, Risk Management, Syndications, and Legal.
  • Participate in strategic projects to support business goals.

What we are looking for

  • BA/BSc degree (or equivalent); Finance, Accounting or Economics would be beneficial.
  • Relevant prior experience in financial services, preferably roles within credit risk management, where you have demonstrated an ability to identify, assess, monitor, control and mitigate credit risk.
  • Credit skills and risk judgment and ability to defend rigorously a fact-based point of view.
  • Knowledge and keen interest to learn about issues related to industry risk, transaction risk and awareness of country risk factors, reputational risk and operational risk.
  • Ability to quickly absorb and follow internal credit policies and procedures; demonstrated ability to continuously learn and adapt with a proactive work ethic.
  • Commercial mindset to support value added discussions with effective interpersonal and written and verbal communication skills, and attention to detail and accuracy.
  • Understanding of credit risk sensitivities in the portfolio and risk drivers of the exposures.
  • Keen interest in finance, macroeconomic and geopolitical issues.
  • Fluency with use of Microsoft Office applications, particularly Excel; including ability to prepare and/or review company specific financial models in Excel.
  • Strong team player & organisational skills with ability to prioritise and work under pressure to meet deadlines.
  • Effective interpersonal and written and verbal communication skills both written and verbal with ability to be concise and with attention to accuracy and detail.
  • Fluency in English required. Additionally, other European language skillswill be consideredhighly beneficial.


UK

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner
  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons
  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum
  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness etc.
  • Access to an emotional wellbeing helpline, mental health first aiders and virtual GP services.
  • Access to an Employee Assistance Program for confidential support and help for everyday matters
  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution
  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.
  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
07.09.2025
BOA

Bank Of America Product Associate - Business Finance Control United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:

Job Description:

Job Title:Product Controller - Equities

Assistant Vice President

Responsibilities:

  • Day-to-day P&L, Balance Sheet and Valuation control responsibilities within the EMEA Global Financing & Futures (GFF) BFC team in London

  • Identify and investigate valuation discrepancies and liaise with Front Line Units (FLUs), Risk, Operations and other finance teams to resolve issues.

  • Analyse drivers of P&L and balance sheet movements, providing commentary and insight for management

  • Engagement with the Accounting Policy Group to implement appropriate accounting policies and procedures.

  • Ensure adherence to accounting policies relating to repos, including sale and repurchase accounting, as well as compliance with FIN41 and IFRS netting guidance for financial instruments.

  • Working with the GVG group to ensure ongoing review & enhancement of valuation control methodologies and practices. Ensuring procedure documents are accurate and up to date.

  • Assist in the streamlining and enhancement of all GFF BFC processes and becoming activelyinvolvedwith system development ranging from technical enhancements and new product releases to automation of existing processes.

  • Contribute to governance processes, operational error reporting and support of other internal control process, including SOX.

  • Contribute to audit engagements, addressing queries on valuation, accounting treatment, and finance controls.

  • Provide finance leadership on new product approvals, system implementations, and accounting policy changes affecting repo activity.

What we are looking for:

  • Preferably Qualified Accountant (ACA, ACCA, CIMA or equivalent) or CFA with good working knowledge of accounting concepts.

  • Applies Financial Accounting & Reporting Expertise

  • Applies Financial Analysis and Reasoning Skills

  • Demonstrates Accounting Knowledge

  • Demonstrates Financial Acumen

UK

  • At Bank of America, we strive to prioritise employees’ health and wellbeing – it’s what makes us a Great Place to Work.

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner.

  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons.

  • We offer 26-weeks paid maternity leave, 16-weeks paid paternity leave and inclusive family leave arrangements for working parents and carers including 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness, cycle to work etc.

  • Access to free counselling through the Employee Assistance Program and virtual GP services through our private health care plan.

  • Access to an Employee Assistance Program for confidential support and help for everyday matters.

  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution.

  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.

  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
07.09.2025
BOA

Bank Of America Vice President Credit Risk Officer - Corporates United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:

Job Title:Credit Risk Officer


Job Description

GCIB Credit is responsible for analysing and delivering credit underwriting debt financing solutions and derivative strategies for medium and large corporate clients of GCIB & Global Markets (GM). GCIB includes corporate banking and investment banking and GM includes sales & trading. The group provides services to middle-market and large corporations, government entities and institutional investors. Services including mergers and acquisition advice, equity and debt capital raising, corporate lending, sales and trading in fixed income, commodities, currency and equities, risk management, research, and liquidity and payments management.

Responsibilities

  • Perform financial and credit analysis, risk rating analysis ensuring adherence to prevailing credit policy and procedures for an assigned portfolio.
  • Independently assess credit worthiness, perform intensive qualitative and quantitative due diligence of prospective borrowers and/or trading counterparties and establish appropriate terms and conditions to mitigate risk
  • Structuring transactions, underwriting and negotiating credit documentation designed to meet both client and investor needs including credit agreements, amendments, derivative documentation.
  • Ensuring granularity of the portfolio with specific reference to targets for net country/credit capital, legally binding commitments, total exposure and asset quality.
  • Establish appropriate internal risk ratings for clients and implement accurate adjustments throughout the client’s credit life cycle.
  • Ensuring that the portfolio and credit management process are at all times rated "satisfactory" by internal auditors, the Credit Review group and external Regulators.
  • Develop and maintain a deep understanding of the product spectrum and portfolio at the client, industry, and macro level to assess risk and craft value added solutions balancing risk.
  • Develop, maintain, and manage internal relationships with business partners including Corporate and Investment Bankers, Sales & Trading, Risk Management, Syndications, and Legal.
  • Participate in strategic projects to support business goals.
  • Providing provide appropriate coaching and development to junior teammates.

What we are looking for

  • Credit risk experience at a major international financial institution, analysing, assessing companies and knowledge of EMEA and specific industry sectors, structuring transactions and documentation.
  • Knowledge of analysing and assessing mid-market corporates, including understanding market practices on structuring and documentation for such mid-market corporates, across different industry sectors
  • Effective credit skills, risk judgment and broader risk awareness and understanding of the wider business, market and regulatory environment in which the bank operates, and how that impacts client and portfolio’s credit profile and ability to defend rigorously a fact-based point of view.
  • BA/BSc degree (or equivalent); Finance, Accounting or Economics would be beneficial.
  • Sound product/technical, documentation and process knowledge across lending, trade finance and derivative (FX, rates, commodities and equities) products.
  • Acting as an agent of change/improvement, influencing corporate policy/procedure and projecting a positive strategic vision.
  • Commercial mindset to support value added discussions with effective interpersonal and written and verbal communication skills, and attention to detail and accuracy.
  • Fluency with use of Microsoft Office applications, particularly Excel; including ability to prepare and/or review company specific financial models in Excel.
  • Strong organisational skills with ability to prioritise and work under pressure, drive deal selection, negotiate solutions, strong transaction management process, and proactively manage credit risks.
  • Fluency in English required. Additionally, another European language skills will be considered highly beneficial.

UK

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner
  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons
  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum
  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness etc.
  • Access to an emotional wellbeing helpline, mental health first aiders and virtual GP services.
  • Access to an Employee Assistance Program for confidential support and help for everyday matters
  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution
  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.
  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
31.08.2025
TB

Td Bank Senior Manager Group Risk United Kingdom, England, London

Limitless High-tech career opportunities - Expoint
Description:
London, United KingdomRisk Management


CUSTOMER

  • Manage a team of Risk professionals providing oversight and control related advisory services to Risk partners
  • Provide guidance, leadership, coaching and development to ensure operational results andprofessional/personaldevelopment objectives are achieved
  • Work with executive team, senior business management/ partners to develop proactive strategies, tactics, policies and programs to effectively manage regulatory/ compliance issues
  • Act as key liaison with partners and external groups and provide Risk subject matter expertise; partner, as necessary, effectively with key stakeholder groups such as Compliance, Legal, Audit, AML
  • Coach to ensure functional/ operational problems are handled appropriately, and participate in the negotiation and resolution of complex and/or escalated issues, where necessary
  • Lead and develop Risk enterprise-wide frameworks, policies, standards, procedures in coordination with management in line with TD’s Risk Program
  • Participate in / Manage global regulatory examinations and external / internal audits with respect to request for information
  • Take corrective action and recommend or implement changes to procedures, as required

SHAREHOLDER

  • Ensure team adheres to enterprise frameworks and methodologies related to overall business management activities
  • Lead relationships with corporate and/or oversight functions to ensure alignment with enterprise and/or regulatory requirements
  • Support team in staying knowledgeable on emerging issues, trends and evolving regulatory requirements and assess potential impacts to the Bank
  • Assess / identify key issues and escalate to appropriate levels and relevant stakeholders and business management where required
  • Identify, mitigate and report on risk issues per enterprise policy / guidance and ensure appropriate escalation processes are followed
  • Ensure business operations are in compliance with applicable internal and external requirements ( e.g. financial controls, segregation of duties, transaction approvals and physical control of assets)
  • Lead relationships with business lines / corporate and/or oversight functions to ensure alignment with enterprise and/or regulatory requirements
  • Lead or contribute to cross-functional / enterprise initiatives as an organizational or subject matter expert helping to identify risk / provide guidance for complex situations
  • Protect the interests of the organization – identify and manage risks, and escalate non-standard, high risk transactions / activities as necessary
  • Manage oversight process, risk-based identification and monitoring of related risks and regulatory compliance across the supported functions, while ensuring key controls and processes are effectively managed
  • Oversee or lead the facilitation and/or implementation of action / remediation plans to address performance / risk / governance issues
  • Keep abreast of emerging issues, trends, and evolving regulatory requirements and assess potential impacts
  • Maintain a culture of risk management and control, supported by effective processes in alignment with risk appetite

EMPLOYEE / TEAM

  • Responsible for management of the overall team providing both leadership and guidance
  • Set targets and objectives for the team, and deliver results
  • Grow team expertise to align with business/enterprise demand and direction; assess team skills and capabilities and continually look for ways to provide and enhance the value delivered
  • Lead a high performing team; provide on-going feedback and performance reviews, coach and develop employees and ensure performance management activities are undertaken and completed for all employees
  • Lead the process of setting performance objectives for the team; track, monitor and effectively address and/or reward performance in a timely manner
  • Manage employees in compliance with all human resources policies, procedures and guidelines of conduct
  • Share knowledge, information, skills, and subject matter expertise among the team and ensure the timely communication of issues and encourage good working relationships with other functions and teams
  • Support an environment where team freely escalates business challenges; facilitate change through positive reinforcement of milestones and successes
  • Recruit for all hires to ensure a highly diverse, qualified workforce to achieve business objectives
  • Establish and foster a cohesive team; promote a fair and equitable environment that supports a diverse workforce and encourage the team to achieve common goals and objectives
  • Act as a brand ambassador for your business area/function and the bank, both internally and/or externally

BREADTH & DEPTH

  • Lead and manage a sizeable team of professionals and overall operation of a diverse group in an area of moderate risk, complexity or scope, while growing talent, developing skills and capabilities to achieve career goals, support project / initiative success and achieve business results
  • Ability to present and make recommendations to senior management and executives
  • Ensure an integrated approach with other business areas, broader organization, and enterprise as appropriate
  • Coordinates and prioritizes multiple initiatives and manages resource allocation
  • Establishes effective relationships with different Stakeholders, Business Sponsors, Executives and LOB
  • Provides support and contributes to the overall discipline and strategy for respective areas
  • Provides coaching, mentorship and guidance to practitioners, business, executives within area of expertise
  • Deep knowledge and understanding of businesses / technology, and organizational practices/ disciplines
  • Sound to advanced knowledge of external competition, industry and/or market trends in relation to own function / business
  • Focus on short to medium-term issues (e.g. 6-12 months)
  • Generally reports to a Senior Manager or executive role

EXPERIENCE & EDUCATION

  • Undergraduate degree or technical certificate and/or
  • 7+ years relevant experience


If you’re interested in a specific career path or are looking to build certain skills, we want to help you succeed. You’ll have regular career, development, and performance conversations with your manager, as well as access to an online learning platform and a variety of mentoring programs to help you unlock future opportunities. Whether you have a passion for helping customers and want to expand your experience, or you want to coach and inspire your colleagues, there are many different career paths within our organization at TD – and we’re committed to helping you identify opportunities that support your goals.


We will provide training and onboarding sessions to ensure that you’ve got everything you need to succeed in your new role.


Expand
Limitless High-tech career opportunities - Expoint
Description:


Responsibilities:

  • You will be assisting the Cross Assets Strats team as part of the Strategic Risk and PnL project to re-factor and redesign our market model code.

  • This project seeks to explain the risk and PnL of the Global Markets business in a strategic fashion

  • Working as part of a team of 8 people, you will be writing and debugging code in Python, running within Quartz, the in-house bank platform.

  • On-going learning about and debugging existing market model code used for calculating risk and PnL, simplifying and optimizing it to perform more efficiently.

  • Programming ability is most highly prized. Financial knowledge is desirable but not strictly necessary, provided there is a willingness to learn.

What we are looking for:

  • You are passionate about programming and are comfortable with a variety of programming languages and paradigms

  • You have previously written a scripting language, or at least know how you might go about it

  • You appreciate functional programming concepts and writing algorithms in a functional style

  • You have good mathematical abilities and want to learn more about using mathematical techniques to analyse data

  • You have financial and quantitative knowledge, and would like to learn more

Key Requirements

  • Proficient in Python, C++, Java, Lisp or other

  • Excellent analytical skills

  • Good communication skills

  • Bachelors or master’s degree in computer science, Mathematics, Finance or related field

UK

  • At Bank of America, we strive to prioritise employees’ health and wellbeing – it’s what makes us a Great Place to Work.

  • Private healthcare for you and your family plus an annual health screen to help you manage your physical wellness with the option to purchase a screen for your partner.

  • Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons.

  • We offer 26-weeks paid maternity leave, 16-weeks paid paternity leave and inclusive family leave arrangements for working parents and carers including 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • 20 days of back-up childcare including access to school holiday clubs and 20 days of back-up adult care per annum.

  • The ability to change your core benefits as well as the option of selecting a variety of flexible benefits to suit your personal circumstances including access to a wellbeing account, travel insurance, critical illness, cycle to work etc.

  • Access to free counselling through the Employee Assistance Program and virtual GP services through our private health care plan.

  • Access to an Employee Assistance Program for confidential support and help for everyday matters.

  • Ability to donate to charities of your choice directly through payroll and the bank will match your contribution.

  • Opportunity to access our Arts & Culture corporate membership program and receive discounted entry to some of the UK’s most iconic cultural institutions and exhibitions.

  • Opportunity to give back to your community, develop new skills and work with new groups of people by volunteering in your local community.

We strive to ensure that our recruitment processes are accessible for all candidates and encourage any candidates to tell us about any adjustment requirements.

Expand
Find your dream job in the high tech industry with Expoint. With our platform you can easily search for Vice President Business Control Risk Analysis opportunities at Bank Of America in United Kingdom, London. Whether you're seeking a new challenge or looking to work with a specific organization in a specific role, Expoint makes it easy to find your perfect job match. Connect with top companies in your desired area and advance your career in the high tech field. Sign up today and take the next step in your career journey with Expoint.