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Front Office Counterparty Risk Management, Director

Front office based Risk manager focussed upon Financing Services within this global bank’s EMEA Equities business, notably Exchange Traded Derivative (ETD) products and Prime Brokerage. The role’s prime focus is risk management of counterparty exposure, managing a team of Risk Analysts and IT professionals in the development of risk methodologies and analysis tools. Furthermore you will oversee pricing and margin issues whilst playing an integral part of the marketing/pitching to potential clients. This is a senior role within the business requiring a candidate with detailed understanding Read more […]

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

Vice President, Operational Risk Management, Investment Bank

Reporting to the APAC Head of Operations and collaborating with country Operational Risk counterparts, you will work with business heads responsible for the institutional equities offering in order to facilitate the upgrading of front-to-back risk and controls processes and procedures. Key duties will be to aid the business to comply with existing bank wide risk policies relating to new business and product approvals and also to implement new Key Risk Indicators where appropriate. These will serve to raise the awareness of lines of defence and to facilitate an effective reporting framework. Key Read more […]

June 18, 2013 • Tags:  • Posted in: Financial • No Comments

Risk Management Consultant

The firm advises 90% of the firms within the FTSE 100 on variety of strategic change projects.Its Risk practice is one of the most dominant in the market, working on transformation programmes that are at the forefront of the ongoing changes in the Financial Services industry.They work on projects across market, credit and operational risk, and on regulatory change initiatives, and are one of the few firms to be able to deliver end-to-end, enterprise-wide transformation programmes.Their ideal candidate would either have completed a Risk Graduate Scheme in a large FS firm, or have worked for the Read more […]

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

HEAD OF CREDIT RISK MANAGEMENT

  Job Description :Initiate credit risk tools to evaluate, measure and manage credit risks of the commercial loan portfolio in line with Group Credit Risk ManagementReview the credit analysis and reporting for identifying credit risk from both commercial lending credit and treasury credit.Ensure governance with the approved parameters for credit risk (both commercial lending credit and treasury credit.Drive the implementation of systems and data management in credit managementMonitor the production of CRM REPORTSCoordinate and evaluate the credit assessment reportsPerform remedial mangeent for Read more […]

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

Current / ex Rates Trader wanted for Senior Risk Management position with leading Hedge Fund

OverviewLeading Hedge Fund with an excellent reputation in the market is currently looking for a current / ex rates trader to risk manage their rates business globally. This is an active risk management function and not a reporting suite. The RoleWork closely with over 20 traders responsible for over $10bn of capital – discussing assessing positions taken whilst setting limits.Act as a consultant to the front office for all risk related matters, gaining credibility by having a deep understanding of rates products and be in tune with the markets.Cover both linear non-linear rates products globally.Collaborate Read more […]

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

Market Risk Management

The role is to enhance Group value through distinctive supply, commodity trading, risk management and information technology skills underpinned by a world class finance, control and compliance infrastructure.The Risk division is comprised of teams with expertise in Credit Risk, Market Risk, Operational Risk and Risk Quantitative Analysis. All the Risk teams provide both independent oversight of trading activities as well as support the business in various commercial decision making capacities.Duties:Setting appropriate Market Risk policies and procedures; Development of adequate Market Risk Read more […]

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

Business Analyst – Consultant – Risk Management

Our client is a respected financial services consultancy.  It works with Tier 1 Banks and Financial Institutions on strategic technology and business transformation initiatives with a particular focus on risk and regulation. It provides project-based services covering areas such as electronic markets, trading and risk management. Projects are performed either on the client site or on an outsourced basis.Due to success and growth, it is seeking to hire business analysts and consultants who  have experience of working with a consultancy firm, leading bank or systems vendor. Your experience should Read more […]

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

Analyst, Risk Management

·         Support Head of Risk in providing credit assessment of potential lessees, existing lessees and potential portfolio purchaseso   Provide a general risk analysis incorporating the airline business model, competitor analysis, financial and risk analysis·         Assist the Head of Credit perform in-depth research and prepare customer profiles on new customerso   Assist in preparing financial analysis and credit write-ups on new transactions·         Maintain the Company’s files of airline financial reports and industry information·         Assist Read more […]

June 12, 2013 • Tags:  • Posted in: Financial • No Comments

Sr. Risk Management

This person will lead the team responsible for all risk related issues of the firm.  This will involve stress testing/scenario analysis of various fixed income markets. ; Daily review of all security, portfolio and benchmark analytics in the firms global risk system.The ideal candidate will have ten years of financial experience with extensive focus in analysis of fixed income securities.  Experience with various fixed income products including debt, warrants, futures, options, derivatives, etc.  Knowledge of vendor risk systems, strong technical skills. For more information including a detailed Read more […]

June 12, 2013 • Tags:  • Posted in: Financial • No Comments

Risk Management Senior Officer

Risk Management Senior Officer Responsibilities: • Risk Management for treasury Portfolio • Production of daily market risk and other exposures reports • Ensure trades details are captured accurately and timely in risk systems • Ensure accurate and timely market data is available for daily risk reporting processes • Maintain counter-party database in risk systems • Certain credit-related functions may be assigned • Ensure reports/documents are filed systematically • Liaison with the front and back office • Specify inputs and system requirements for IT programmers • Cooperate Read more […]

June 12, 2013 • Tags:  • Posted in: Financial • No Comments