Archive for June, 2013
Commodity Market Risk Manager
Your main focus within this role will be to manage and control market risk from commodities for the firm, you will be responsible for assisting with the development and enhancement of the risk aggregation and reporting infrastructure for Market Risk by working with stakeholders within the firm and connected business. You will also assist in the development of market risk reports and stress testing/ analysis when necessary so a quantitative background would be suitable. You are expected to have a strong education but have strong experience (5+ years) within commodities risk management across Metals Read more […]
SENIOR CREDIT ANALYST, CORPORATE AND PROJECT FINANCE
Position SummaryThis role is primarily responsible for maintaining quality of the group credit portfolios at required standards, by making sound credit decisions on individual proposals / transactions and minimizing credit losses. Special focus of the candidate will be on his ability to identify, analyze, and evaluate risks in the proposals from the banks wholesale banking. The candidate is required to have the ability to analyze complicated financial statements, cash flow projections and identify risks and mitigants in proposal submitted to Risk management. Managing risk from industry, obligor Read more […]
CIB Operations – Commodity Operations Financial Settlements Analyst
An exciting opportunity to join the rapidly growing Commodities business working within the operations department in the Bournemouth campus.Commodities remains a focus growth area for the Investment bank; we are entering new products and markets all the time as JPMorgan looks to broaden its Commodities franchise placing us at forefront of the current boom in Commodities trading. The Energy, Base Metals and Softs settlements team, located at our Chaseside office, operates between the hours of 8am and 10pm (occasionally later) and expects to handle approx. 1,000-1,500 settlements a month with further Read more […]
Macro Currency Economist – Leading asset management firm
This is a desk Economist position and you will take control of the following regions :- (UK, Japan, Scandies, Switzerland). In order to apply for the position you must be a strong macroeconomist with a distinguished academic background (MA / MS / MPhil / PhD). The hiring manager requires the successful candidate to be experienced in the field therefore a minimum of 3 to 4 years of experience as a desk economist (sell side, buy side, international institution) is required. Whilst you do not have to have covered all the Countries previously you should and have already covered some of Read more […]
Recruitment Consultant
Michael Page International is one of the worlds leading professional recruitment consultancies focused on the placement of candidates in permanent, contract, temporary and interim positions around the world. With a 35 year track record we employ over 5000 staffing 148 offices in 32 countries worldwide. We recruit for investment banks and independent boutiques, private equity firms, hedge funds and long-only asset managers, covering junior and senior mandates across corporate finance / MA advisory, debt financing, equity research and portfolio management.The Corporate Finance Equities team within Read more […]
French Speaking – Relationship Manager
This role is for a Relationship Manager – Derivatives -French Speakingwithin this Investment Bank, based in London – City. You will work closely with the bank’s Relationship Managers to generate business, review and assess client’s requirements and suitability for derivative business. The specific client portfolio will cover Project Finance, Corporate Clients Securities. Responsibilities include: • Generating new business in conjunction with Corporate Relationship Managers. • Closing derivatives business. • Review and assess clients requirements and suitability for derivatives business. • Read more […]
Financial Institutions Group (FIG) Associate
Our client, a leading global Investment Bank, is looking to build out its Financial Institutions Group (FIG) franchise with the addition of a top performing Associate. Over the past five years this team has gone from strength-to-strength and has bucked the instability of the financial crisis.The successful candidate will work across multiple products as well as covering all aspects of the FIG and the sub-sectors. This bank is renowned for its investment in the development of their staff, providing excellent experience, training and exposure to clients.A successful candidate will have:• A minimum Read more […]
Loan Operations Executive
Corporate and Asset Finance is a provider of specialist finance and asset management solutions with in excess of 800 staff engaged in corporate lending and asset financing activities with clients in diverse industries throughout Australia, Asia, Europe and North America.The Loan Operations Team is responsible for the operational management of our European corporate loan portfolio and associated transactions from pre-settlement to termination including the analysis of proposed transactions and the implementation of appropriate procedures for effective day to day management.Key responsibilities Read more […]
Experienced Tax and Structuring Manager
Macquarie Group (Macquarie) is a global provider of banking, financial advisory, investment and fund management services. Around the world, we act on behalf of a range of institutional, corporate and retail clients. Founded in 1969, Macquarie employs more than 13,800 people in 28 countries. We focus on areas of business where our particular skills and expertise deliver real benefits to clients and investors.At Macquarie we offer you the experience and freedom to grow your career whilst making your mark within a highly successful organisation. Key to our success is the entrepreneurialism we encourage Read more […]
VP / Senior VP Fixed Income Trader
My client is a leading investment bank based in LONDON looking to add a trader at VP/ Senior VP level to their FICC team. My client has international reach and a very strong and stable presence globally. The chosen trader will join a top-tier team alongside well-respected professionals and very good support systems in place.The candidate should have a minimum of 3 years experience Eurobond trading, preferably with a decent period focused on bonds denominated in emerging market. The chosen trader will be responsible for primary and secondary coverage for Eurobond issues. The focus of the role will Read more […]