A Global City based Investment Bank is currently looking to add a Test Manager within their Credit Risk modeling team. The role will be for a minimum of 6 months and are looking for someone with a minimum of 3 years testing experience, having run through all test methodologies, and must have experience of working in a credit risk environment. The main responsibilities will include: § to plan and manage Testing across the Credit Portfolio Analytics programme§ to refine the test approach for the Programme and ensure that supporting documents are of sufficient quality;§ to interface with stakeholders to ensure that tests are written, executed and results documented;§ To identify and define test requirements, in conjunction with Business Analysts, Credit Officers in the wholesale divisions and other key end-users in Finance, Group Functions,§ To define test deliverables, scope and agree key milestones with the delivery team.§ To ensure that the correct tools are used to run and validate testing.§ To produce Test Completion reports evidencing the testing and ensuring deliverables have the correct level of sign-off from all stakeholders. This is a great role that will offer much exposure, when applying please quote job ref 147486.
MS_FS_Risk
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