My client is International niche bank offering Trade Finance, Corporate Loans and Money Market deposits to a select customer base, businesses which are involved in international trade. They are looking to hire a Risk Manager to Head up their London Risk Department.Risk Manager to manage a Risk department and help grow the Risk function as the business expands.Credit Risk: Assessment for SME and FI.Market Risk.Operational Risk.Business Risk.Key responsibilities will include but not limited to:Develop the existing Risk Management Framework to support the Bank growth.Ownership, maintenance & ongoing development of the Risk Management Framework.Risk analysis and monitoring of key risks the Bank is exposed.To provide advice, challenge & support in relation to embedding the appropriate risk culture across the business.To monitor and support the appropriate reporting, evaluating and resolution of risk issues, including: Credit Risk Assessment for Customers, Operational Risk Report, Credit Risk Report, Credit Risk Assessment.Preparation of limited proposalsRisk Management Framework and Risk Appetite Statement update, Limits review, including update in T24, Credit Risk review.Any additional task that from time to time being assigned by the General Management, Audit Committee and/ or the Board of Directors.