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Financial Crime Risk Management

Hays Financial Crime are partnering with two of the ‘Big Four’ Consultancies to assist with the growth of their Financial Crime risk advisory teams. With increasing pressure on regulatory standards, the consultancy model has never been more a diverse and challenging career option for Financial Crime professionals. Two members of the Big Four are looking to make multiple hires into their client-facing Financial Crime consulting teams. They are looking to hire candidates at Assistant Manager, Manager and Senior Manager gradings. The roles;Successful hires at all levels will provide expert guidance Read more […]

February 17, 2015 • Tags:  • Posted in: Financial • No Comments

Credit Limit & Risk Management

AMBITIOUS CREDIT LIMIT / CREDIT RISK PROFESSIONALJOIN AN ASTUTE, COMMERCIALLY DRIVEN TEAMCredit Risk/Credit Limit Management£20,000 – £35,000 DOECreweOur client is a leader in their field, they offer services across a wide client base and customers include many major European oil and logistics companies. Due to the launch of a new service they are seeking to add expert Credit Risk/Credit limit professionals to their team. Working within the European Head Office in Crewe you will join a commercially astute team which is constantly growing and evolving. Opportunities exist for like minded Read more […]

September 4, 2014 • Tags:  • Posted in: Financial • No Comments

Enterprise Trading Risk Management Support

Our client is a world leading energy and commodities company. They are now seeking an Enterprise Trading Risk Management Support to be based in their China office.Your responsibilities include but are not subject to:· Endur Application Support for Intraday and End of day trading activities· Supporting new business/business development in terms of instruments/templates/curves/surfaces/scenarios etc. · Configuration Management· Release Management/Deployment of changesThe ideal candidate will have:· Experience of Openlink Application Management up to scripting level (e.g. Understand Openlink Read more […]

August 7, 2014 • Tags:  • Posted in: Financial • No Comments

VP AML/Sanctions and Risk Management

VP AML/Sanctions Risk Assessment – Global Banking Group A large Global Banking Group is looking for a VP AML/Sanctions Risk Assessment Manager to oversee the businesses assurance functions.The Client;Our client is one of the largest global banks. It operates in offices throughout the world spanning over 50 different countries. The bank offers a number of services including wealth and asset management, investment banking, corporate banking and retail banking. They are looking for someone whose aspirations match their own; they wish to be an example to the rest of the market with leading AML Read more […]

July 7, 2014 • Tags:  • Posted in: Financial • No Comments

Treasury Risk Management Leader

Our Client is an innovative and successful organisation operating on a global basis within the food drink industry. As part of their continued growth, an exciting opportunity has arisen for a Treasury Risk Manager. This is a wide and varied specialist role with a strategic focus and management of all Group Treasury risks in order to protect the company’s assets and maximise efficiencies within the Group risk management framework.This role would suit an individual from an industry or practice background looking for their next career opportunity within a progressive organisation. As mentioned, Read more […]

July 7, 2014 • Tags:  • Posted in: Financial • No Comments

Quantitive Risk Management (QRM) Analyst

An exciting opportunity has arisen with our Client, a major player within financial services in Edinburgh. Operating within the Treasury Finance team, the role supports the development of Funds Transfer Pricing, Interest Rate Risk Management and Stress Testing by producing analysis directly out of QRM and forming recommendations from the analysis generated.This is a business critical role and the ability to identify areas of improvement is a core part of the role and involves constructively challenging the current process and identifying performance gaps in the current reporting process. Working Read more […]

July 7, 2014 • Tags:  • Posted in: Financial • No Comments

Senior Quantitative Risk Management Associate

The Senior Quantitative Risk Associate will be responsible for developing Risk/Pricing Models that evaluate counterparty exposures to the Clearing House. These include models related to Pricing, Value-at-Risk, Stress Testing, Liquidity, Regulatory Capital, and also developing tools for Portfolio Analytics (Sensitivities, Risk Reports, Margin Coverage, etc.). This senior associate will also work to develop strategies to perform back-testing to ensure the adequacy of margin coverage and model assumptions. In terms of the asset classes, this role would fit someone with at least 4+ years’ of risk or Read more […]

November 13, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Sales /Risk Management/Valuations/Pricing/Frankfurt

Our client is a leading technology vendor that specialises in selling large ticket OTC derivative Pricing, valuation and Risk solutions across buy sell side institutions.     This is a fantastic opportunity to work for an established brand that has one of the best trading solutions in the Market. The role will be based in Frankfurt and will consist of new business sales across their full suite of Risk Management solutions. You will already have experience of selling into buy and sell side institutions, have previously sold large complex solution deals across the German markets. Job Description: Read more […]

November 7, 2013 • Tags:  • Posted in: Financial • No Comments

Quant – trading & risk management

This firm is looking for a trading risk management quantitative consultant with a good understanding of derivative modelling in London. This opportunity is a client-interfacing role in their European HQ in their London offices. It will interact with their clients, sales and research teams. The successful applicant will be dealing with traders, portfolio managers and other users on some of the complex financial problems.     Opportunity Communicating with clients on their modelling needs, questions around the models and assisting with the validation of themAn element of pre-sales and involved Read more […]

November 6, 2013 • Tags:  • Posted in: Financial • No Comments

Client-facing Quant for trading & risk management platform

This firm is looking for a trading risk management quantitative consultant with a good understanding of derivative modelling in London. This opportunity is a client-interfacing role in their European HQ in their London offices. It will interact with their clients, sales and research teams. The successful applicant will be dealing with traders, portfolio managers and other users on some of the complex financial problems.     Opportunity Communicating with clients on their modelling needs, questions around the models and assisting with the validation of themAn element of pre-sales and involved Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments