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Senior Hedge Fund Credit Risk Analyst (VP Level) | Leading Global Investment Bank, London

Senior Hedge Fund Credit Risk Analyst (VP Level) | Leading Global Investment Bank, London Location – London, UK Salary – £70k – 100k + benefits bonus   Description A leading global investment bank is seeking a Senior Hedge Fund Credit Risk specialist to work within the Fund Credit Risk Group in their London offices. The role will report directly into the Head of Fund Risk, with a dotted reporting line into the Head of Financial Institutions Risk. The role will focus on a portfolio of clients based in LATAM, New York and EMEA, with a large proportion of the business focussing on Emerging Read more […]

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

CIB – Investor Services Risk Manager – Vice President

About J.P. Morgan Corporate Investment Bank J.P. Morgan’s Corporate Investment Bank (CIB) is a global leader across banking, markets and investor services. The world’s most important corporations, governments and institutions entrust us with their business in more than 100 countries. With $18 trillion of assets under custody and $393 billion in deposits, the Corporate Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world. Main Responsibilities: • Execute the J.P. Morgan Risk Management strategy and support the Investor Services Read more […]

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

Senior Manager Risk Delivery

CAN YOU identify risks and make recommendations to mitigate against further risks?CAN YOU add value by creating a robust risk framework for a growing business?About UsCommInsure is a division of CBA Wealth Management offering a range of life insurance, superannuation, retirement income, investment and general insurance products.The BusinessThe Direct Life business within CommInsure is responsible for sales of all life and related insurance direct to customers through a number of channels including tele-marketing, online and the CBA Retail Network.The OpportunityIn this newly created role you will Read more […]

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

Mid-Level, Senior Associate/ Manager- Quantitative Risk – Commodities, Energy – Leading Financial Services Firm

JOB DESCRIPTION   Top financial services firm is seeking an expert quantitative analyst for a junior-mid level role in their Energy quant business. This quant risk group has been steadily growing throughout the year and going into a strong finish for the last quarter. Headquartered in New York City, the energy quant risk team  is planning on focusing their energies on cutting-edge margining models, thus need your quantitative, analytical, and technical skill sets to research and develop these models. You will be responsible for contribution to the  development efforts for new risk and pricing Read more […]

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

Risk Methodology Analyst

As a Margining Methodology Risk Analyst you will be responsible for working in collaboration with market risk management, operations and analytics instruments validation team to get regulatory approval for the uncleared margining framework (methodology, controls and governance). Front office interaction will also be critical to defining and agreeing on the margining framework to implement and to submit for regulatory approval. You should apply for this role if you have: ·         Strong mathematical and statistical background. ·         Historical VAR, valuation and margining approaches Read more […]

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

Consultants & Senior Consultants within Energy & Commodities Team of Award-Winning, Top Tier Management Consultancy

My client has a glowing, long-standing reputation and track record of winning awards for excellence, training, career progression and industry expertise.  This leading Consultancy is looking for experienced Management Consultants, as well as industry experts in energy or investment banking to join their ever growing practise. The role provides consistent challenges, variety and development in a client facing environment. The client portfolio includes top tier investment banks, Oil and Gas majors and commodity trading houses principally in the UK but also in Germany, Switzerland, Netherlands, France, Read more […]

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

(Senior) Operational Risk Officer

The EIB, the European Union’s bank, is seeking to recruit for its Risk Management Directorate (RM) – Operational Risk Unit (OPR) at its headquarters in Luxembourg, a: (Senior) Operational Risk Officer Purpose To contribute to the implementation of the operational risk framework through the identification, assessment, monitoring and reporting of operational risk within the Bank, as well as supporting the various services in analysing and improving the quality of internal procedures and controls in order to minimise exposure to operational risk and ensure compliance with best banking practices. Operating Read more […]

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

Senior Funds Credit Risk Analyst

My client a large multinational bank is looking for a Senior Funds Credit Risk Analyst for their London North West office. The successful candidate will sit in the Funds Credit Risk team within the Wholesale Credit Risk Department and will be primarily involved with the oversight, analysis and credit rating of Traditional and Alternative funds in EMEA (ex-Iberia), plus Alternative funds in Brazil and USA. The team works together with Front Office and other internal constituents by supporting on boarding activities such as; • Analysing new transactions, new funds via onsite or desktop due diligence Read more […]

November 11, 2013 • Tags: , • Posted in: Financial • No Comments

Security Risk Analyst

Overview: The Security Risk Analyst will be involved in producing accurate single security analytics for the well over 100,000 instruments followed by Western Asset Management. These instruments comprise virtually all aspects of the global fixed income markets. Producing these analytics will require a deep understanding of the fixed income markets and of quantitative models. Daily production of measures such as duration, spread duration, weighted average life, and yields is accomplished by using a variety of vendor and custom models. The Security Risk Analyst will be responsible for a mix of production Read more […]

November 11, 2013 • Tags:  • Posted in: Financial • No Comments

(CBS) Associate, Institutional Transaction Management

CAN YOU changethe way a company does business?DO YOU want to work in a growing and successful business that has authentic and visionary leaders?Who are we?Institutional Banking and Markets provides relationship management and product capability for the Bank’s major corporate, government and institutional clients. IBM offers Total Capital Solutions to our clients, ranging from core transactional banking to debt, equity and financial markets risk management products and services.Corporate Banking Solutions delivers dynamic banking solutions to improve our clients’ businesses and support Australia’s Read more […]

November 11, 2013 • Tags:  • Posted in: Financial • No Comments