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Credit Risk Associate Healthcare
Responsibilities: Manage and monitor a portfolio of counterparties in the healthcare sector Assign internal credit ratings, establishes and manages credit risk limits in accordance with the risk tolerance Monitors and reports credit risk exposures on a regular basis to the senior risk officers and to senior management. Interact with business units to ensure that credit risk assessments are factored into business decisions. Assist colleagues with loan approval requests, loan reviews, periodic credit updates on corporate counterparties and other ad-hoc projects Requirements: 3+ years of corporate Read more […]
Performance Management Capital Markets Specialist
A major Banking institution have a great opportunity for a Performance Management Specialist aligned to their Capital Markets business . The successful candidate will be working in a team of 7 specialists in a delivery function which is responsible for: leading on transformation, driving informed decisions ,targeted client planning and ongoing performance management, which are critical in supporting the business ResponsibilitiesWorking with stakeholders to develop and deliver value-add, meaningful MI and analysisDevelop KPI’s and Balance Score Card objectives , to help the business to monitor Read more […]
Business Risk & Control Manager
An immediate opportunity has arisen for an experienced Business Risk Control Manager to join our client, a leading investment bank based in London Key responsibilities of the Business Risk Control Manager will include: -Supporting the Business Risk and Control Monitoring team and the business management team manage their control and audit issues -Producing regular as well as adhoc reports/meeting packs/updates/ at the request of management -Working closely with the Business Risk and Control Monitoring team and business managers to ensure timely closure of actions in the systems -Other specific Read more […]
Traded Market Risk Oversight FX
Portfolio and Market Risk Management (PMRM) is part of the Group Centre Risk Management team and as such provides Group-wide risk management services. The Traded Market Risk team provides Line 2 Oversight of Trading Book, Residual Value and Equity Investments, and support the collection of market data and positions for the measurement of credit and market risk exposures that feed regulatory and economic capital. An opportunity for an Analyst has become available and is responsible for independent market risk management oversight of the FX business including FX Spot and FX Options. The successful Read more […]
Senior Interim Power Risk Analyst
Position: Senior Interim Power Risk Analyst We are a leading commodities trading company, headquartered in London, with a steadily growing staff pool globally. Due to continued expansion we are looking for a Senior Risk Analyst to join our Power Risk analysis team in Central London. THE ASSIGNMENT This role is for a Power Senior Risk Analyst within the Middle Office Gas, Power, CO2 and LNG unit, involved in day-to-day Middle Office activities, particularly around Power trading activities. The role will work closely with a number of other departments, in particular Front Office, IT and Back Office. Read more […]
Asset Management Director- TMT
This is a fantastic opportunity for a senior figurehead to come on board and help establish and develop the firm’s asset management capabilities and meet strategic board objectives. This is a hybrid role between strategy, finance and operational issues surrounding the assets under ownership by the client. This is a unique opportunity within a large international organisation which is experiencing significant growth within the TMT sector. The remit of the Team is to monitor and acquire and evaluate assets in EMEA region. This position will be accountable for establishing and developing the firm’s Read more […]
Team Lead for Remedial Management
Responsibilities Whilst reporting into the Division Head of Commercial Credit Risk, the successful incumbent will be tasked with managing the end-to-end Early Warning, Collection and Remedial functions for the commercial portfolio. Managing a team of 11, the Remedial Team Head will ensure early problem identification across a client base of SME and MME customers by means of enhancing the framework, performing stress tests and also by having effective communication across the group. The jobholder will also be responsible for process design and updating any relevant procedures in line with the Read more […]
Regional Risk Manager – Executive Director – Transaction Services
The Regional Risk Manager will lead the Transaction Services Risk Management team and will be responsible for the identification of all in-business risks, the establishment of risk metrics, setting of limits, guidelines and risk mitigation processes. The incumbent will have regular interaction with independent risk management to ensure that planning and control processes are aligned with credit policy. The jobholder will have delegated risk authority, will play a key role in communicating with regulators and will build a high level or risk awareness across all levels across the organization. The Read more […]
Head of Products & Risks (Global Markets)
Responsibilities Lead the Product Risks team so as to support the middle and back offices to identify potential risks Formulate risk measurement and control procedure in treasury trading Monitor the daily operations to assess the risk level and make sure everything complies with the bank policies and regulations Review control procedures and identify the needs of system enhancements Perform analysis report for management’s review Study and evaluate risks of new products and business Requirements Degree in Finance or related discipline At least 10 years of experience in banking industry A Read more […]
Quantitative Risk opportunity
Openings: Analyst (2-3 yrs) VP (7+ yrs) Salary: Negotiable This firm is an asset management firm and has a large and complex portfolio in the risk industry. Position Requirements: Analyst position should have 2-3 years in a similar role VP/Director role needs 7+ years experience Ideally successful candidates would come from a mixed background in top consultancy firms, investment banks or insurance companies. Successful candidates will have an in-depth knowledge in modelling structured and non-structured FI asset classes. Need to be very analytical be able to build robust analytical platforms. Read more […]
