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Catastrophe Risk Model Software Assistant
Our Client, a huge global player within the Insurance market is looking for a recent quantitative graduate with strong academics to joing their model development team working within Catastrophe Risk. A fast growing and extremely exciting area of insurance to work in.Catastrophe Model Software Support£25,000 – £35,000 + Bonus + BenefitsJob SummaryWorking as a member of the cat management team, working on varied cat related modelling projects, offering a client facing role within a collegiate team environment.Responsibilities Duties:· Supervise the gathering and preparation of property exposure Read more […]
CATASTROPHE MODELLER
Team Member – Catastrophe ManagementCity of London£30,000 – £40,000Job SummaryWorking as a member of the cat management team, working on varied cat related modelling projects, offering a client facing role within a collegiate team environment. Responsibilities Duties:Supervise the gathering and preparation of property exposure data for assigned client projectsAssess client exposure data quality and make necessary assumptions for modelling; analyze changes in exposure and the associated impact of cat model resultsModel the probability distributions of the gross/ceded/net Read more […]
Risk Analyst Model Validation
Risk Analyst Model ValidationAlexander Black Recruitment is urgently looking for a Risk Analyst Model Validation to join our high profile client.Our client is the world’s largest insurance business.In this role you will lead and organise the production process for the Profit Loss (PL) attribution process which aims for explaining economic PL by risk drivers. This includes maintenance and further development of existing calculation tools (based on S+) as well as production and reporting of PL attribution results. Beside the PL attribution production the role will also further Read more […]
Fund Manager Monitoring Analyst
Fund Manager Monitoring Analyst£50,000 – £80,000 + bonus + benefitsCentral London Who They Are They are a highly respected fund of fund manager. They have a strong reputation for delivery of high quality investment research to their clients and have achieved excellent results over the years. The roleAs part of the ongoing investment analysis process, it is crucial that the firm is able to determine whether a manager has veered from their stated investment style or the investment manager’s corporate entity has changed for any reason. You will have special responsibility to Read more […]
Fund Manager Research
Fund Manager Research – Senior Analyst £65,000 – £90,000 + Bonus + Benefits Central London Who They Are They are a highly respected manager. They have a strong reputation for delivery of high quality investment research to their clients and have achieved excellent results over the years. The Role You will report to the Head of Fund Manager research and also the Investment Committee. The role is a generalist role and is wide ranging and possibly covers the USA, Europe and Asia/Far East. If you have Long Only Property/Private Equity experience within the USA that would also Read more […]
Desk Quant / Strategist role in Quant IT Production
The team closely collaborates with the model development group, desk applications team, and IT department to deliver stable high quality risk analytics to the trading desks (IR, EQ, FX, INFL, MTG) and risk management department. We are looking for 2 quantitative analysts / strategists to work on solutions that will extend the team’s scope and responsibilities. The team in its current shape has been established this year.
Market Risk Business Analyst
A global Investment Bank is currently seeking a strong Market Risk Analyst to join their Change Management Division. Specifically this team focuses on delivering quality market data, risk factors and scenario data in order to consistently improve the Market Risk Control function. The role itself is responsible for the design and implementation of consistent and robust Market Data sourcing and Scenario Generation systems/processes. As such it has the following responsibilities:- Implementing methodological improvements in risk factor/scenario generation- Supporting functional Read more […]
Risk Officer
This role is a key part of the team for a Risk Officer relating to the conduct of the Firm`s investment management business predominantly with fixed income strategies. The firm has a hybrid function between Legal, Compliance and Risk, for which the applicant must be willing and competent to deliver on streams as required. The role requires the applicant to be able to monitor and analyse all aspects of investment risk on a variety of credit funds (fixed-income funds, hedge-style and private equity funds including distressed-asset). The aim of the role is to ensure that fund Read more […]
Product Risk Manager
– Risk Managemento Develop, communicate and ensure adherence to department risk policies, procedures and best practices.o Reassess existing processes and create new ones that most effectively anticipate, manage and reduce risk to DTCC and its participants.o Strengthen DTCC`s controls over risk and comply with corporate initiatives, including but not limited to: New Initiatives Process (NIC), Management Self Identification of Audit Issues, Management Control and Awareness Rating (MCAR), Operational Risk Control Self Assessments (RCSA), etc.- Product Risko Provide guidance Read more […]
Associate Analyst – AA2, Dubai recruitment
Role/Responsibilities:The Associate will work closely with Senior Analysts and have the opportunity to attend meetings with issuers and contribute to rating committees. The key function of the role is to provide analytical, statistical and research assistance to Analysts in the Banking team.Support analysts in the rating process, including drafting credit documents, formulating ratios, preparing spreadsheets, comparative statistics, graphs, tables, and working on special projects as and when needed.Monitor portfolio and quantitative and qualitative portfolio data as directed by lead Analyst.Review Read more […]