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2 x Commodities Front Office Consultants – Energy Trading & Risk Management Firm – £55-£65K + 20

Our client is an industry leading and award winning Energy Trading Risk Management (ETRM) Consultancy. Their success is largely attributable to their ability to address the complex requirements of their clients, who include the oil gas super majors, asset backed commodity trading houses and bulge bracket investment banks. MAIN JOB DESCRIPTION: To apply energy market expertise in the implementation or operation of the company’s ETRM / CTRM software and Straight-Through-Processing (STP) software. The role is “hands on” and requires the individual to become an expert in the software functionality Read more […]

May 24, 2013 • Tags:  • Posted in: Financial • No Comments

4 x Commodities Front Office Consultants – Energy Trading & Risk Management Firm – £45K-£65K + 20

Our client is an industry leading and award winning Energy Trading Risk Management (ETRM) Consultancy. Their success is largely attributable to their ability to address the complex requirements of their clients, who include the oil gas super majors, asset backed commodity trading houses and bulge bracket investment banks. MAIN JOB DESCRIPTION: To apply energy market expertise in the implementation or operation of the company’s ETRM / CTRM software and Straight-Through-Processing (STP) software. The role is “hands on” and requires the individual to become an expert in the software functionality Read more […]

May 22, 2013 • Tags:  • Posted in: Financial • No Comments

Audit Manager, IA Risk Management, Market Risk

Job ResponsibilitiesPerform/lead audits in accordance with corporate methodologies and professional standards, including drafting of audit reports, presenting issues to the business and discussing practical solutions. This includes those audits that are the most complex and subject to the fast changing state of regulatory requirements as set out in the annual planDrive the coverage of market risk by applying technical knowledge to all phases of the audit process, and provide coaching to team members during the auditAssist as auditor on market risk audits and other audits as requiredAssist in developing Read more […]

May 21, 2013 • Tags: , • Posted in: Financial • No Comments

Project Manager, Risk Management, Market Risk.

Project Manager, Risk Management, Market Risk. £55,000-£75,000 + excellent benefits package London Project Manager required for one of our International Investment Banking clients to work within the Market Risk team. This Job will require the Project Manager to manage critical IT projects for systems with regulatory significance within Market Risk Technology. You will be responsible for complex mathematical modelling and reports from risk and Front Office systems. Products include equities, bonds, swaps, FX, ABS and CDOs. Continued development is required to ensure that systems implement Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Assistant Manager, Market Risk (Risk Management Department)

ASST MANAGER, MARKET RISK (RISK MANAGEMENT DEPT)   A corporate bankRole: • Handle tasks directly related to risk management including but not limited to VaR, p/l and position computation, administration and compliance in market risk management. • Assume responsibility for the market risk management function of all treasury-related activities. This includes methodology research and review in order to improve the efficiency and effectiveness of our risk management and reporting function. • Conduct of tests related to risk management functions including but not restricted to back-testing Read more […]

May 17, 2013 • Tags: , • Posted in: Financial • No Comments

Risk Management, Private Banking (AVP)

Scope of Responsibilities:Implementation of new credit risk policies, processes and proceduresDevelopment of new credit guidelines and policy and product paper in close cooperation with front officeAnalyse reports of clients’ data and perform credit analysis on credit risk proposals submitted by Relationship Managers prior to submission for internal approvalReview new credit proposals/reviews and make recommendation for decisions in a timely manner within our stipulated turnaround timeframeFollow up with Relationship Managers ensure that credit renewal schedule are adhered and internal credit Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Compliance Manager, Macquarie Securities Group, Risk Management Group

Senior Compliance Manager Macquarie Securities Group (MSG) within the Risk Management Group (RMG) 1 Martin Place officeAs a Senior Compliance Manager, you will consult with and advise key stakeholders within the Macquarie Securities Group (MSG) to ensure Macquarie continues to meet the obligations of its regulatory and compliance framework. An experienced compliance practitioner, your ability to engage, consult with and influence senior stakeholders will be critical to your success.About the role:providing advice to the business on compliance implications arising from business changes (e.g. New Read more […]

May 16, 2013 • Tags:  • Posted in: Financial • No Comments

Financial Services Risk Management Senior Consultants & Managers – Advisory

You are a high achiever who can see the big picture. By developing a career with Ernst Young you will work with some of the world’s leading organisations, and make a difference in diverse, experienced, and quality teams. EY will give you the opportunities to take your career to the next level. Our Financial Services Advisory team is currently looking for Senior Consultants and Managers to join its Risk Management team. You’ll help leading Financial Services organisations address the big challenges across: Operational risk, Credit risk, Capital, Internal audit, and Regulatory compliance You Read more […]

May 15, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Analyst, Market Risk, Risk Management Group

Senior Analyst, Value at Risk, Market RiskValue at Risk modellingRisk management options / derivativesRegulatory and economic capital calculationsAbout the roleReporting to the Head of the Value at Risk (VaR / Capital) team within Market Risk, you will be working in a small, collaborative team that is responsible for Group-wide market risk modelling and capital calculations. Key responsibilities include:Value at Risk modelling (VaR)devising and testing model enhancements calibration of model parametersanalysis of back-testing resultsregulatory and economic capital calculationscalculation of contingent Read more […]

May 14, 2013 • Tags:  • Posted in: Financial • No Comments

Credit Risk Management

Position Description Morgan Stanley has an opening for an Analyst or Junior Associate for the Commodities team within Credit Risk Management (CRM). CRM is a global group that is responsible for oversight of credit risk arising from the businesses of our Sales Trading and Investment Banking divisions.  The primary location is alongside our trading floor in Westchester, although flexibility to work out of CRM’s main office in Manhattan is necessary. While relevant work experience is preferred, candidates with exceptional academic, analytical and project management accomplishments may apply. The Read more […]

May 14, 2013 • Tags:  • Posted in: Financial • No Comments