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Head of Operational Risk (North Asia) – Executive Director Level
The North Asia Head of Operational Risk will establish and maintain an operational risk management (ORM) framework for the bank including risk related governance, policies and tools that enables identification, assessment, mitigation, measurement, monitoring and reporting of key operational risks, as well as monitoring the effectiveness of ORM. The jobholder will provide advice, guidance and training to the business units on operational risk matters, assess key operational risk issues with the units and determine their impact across the bank. The incumbent will be required to report and escalate Read more […]
CIB F&BM – Risk Product Control – Associate
Department Description The primary purpose of the Discounting Central Utility is to risk manage CSA and FVA specific discounting risk at a firm-wide level, achieving economies of scale and benefiting from the potentially offsetting risk of various desk. CSA and FVA specific discounting (or Differential Discounting) allows JPM wholesale trading desks to price and risk manage derivative financing costs in a manner that is consistent with various funding treatments specified by JPM’s counterparty specific collateral arrangements (Credit Support Annexes) or JPM’s own funding cost. Role Description Read more […]
Operational Risk Manager
Our client a top tier investment bank has an urgent need for a Senior Vice President level Operational Risk Manager experienced in Asset Wealth Management arena. Asset Wealth Management offers individuals and institutions traditional and alternative investments across all major asset classes. It also provides tailored wealth management solutions and private banking services to high-net-worth individuals and family offices. The mission of this role is to protect the bank’s reputation by giving consideration to all of the elements of risk including local regulations and the Bank’s policy. Read more […]
Market Risk Manager
Our client, a global leading financial services provider, is looking to recruit a Market Risk Manager for the Interest Rate Flow portfolio. The role will be responsible for the valuation and risk control of the Interest Rate exotics portfolio and other products within the Interest Rates trading business. The role will involve close liaison with internal and external senior stakeholders in addition to providing leadership in key matters requiring market risk expertise.The role requires the candidate to have a quantitative background with several years experience in trading, market risk management Read more […]
Market Risk Manager
Our client, a global leading financial services provider, is looking to recruit a Market Risk Manager for the Interest Rate Exotics trading desk. The role will be responsible for the valuation and risk control of the Interest Rate exotics portfolio and other products within the Interest Rates trading business. The role will involve close liaison with internal and external senior stakeholders in addition to providing leadership in key matters requiring market risk expertise.The role requires the candidate to have a quantitative background with experience in trading, market risk management or Read more […]
Energy Operational Risk Analyst – £45
Our client is a global oil major, commanding a strong presence within the Upstream and Energy Trading sector. You have the opportunity to become a member of their Energy Operational Risk Team, responsible for regular interaction with commercial teams within the company to ensure that all aspects of their risk indicators are covered. This will present you with the opportunity to gain exposure to Back Office, Middle Office and Front Office teams of the organisation. This will allow you to influence key risk methodologies within the company, and gain ownership as to what recommendations will be made Read more […]
Assistant Risk Manager
About Coface The Coface Group, a worldwide leader in credit insurance, offers companies around the globe solutions to protect them against the risk of financial default of their clients, both on the domestic market and for export. In 2012, the Group posted a consolidated turnover of €1.6 billion. 4,400 staff in 66 countries provide a local service worldwide. Each quarter, Coface publishes its assessments of country risk for 158 countries, based on its unique knowledge of companies’ payment behaviour and on the expertise of its 350 underwriters located close to clients and their debtors. Read more […]
Management Information Development
The organisation is in the process of implementing a new Centre of Excellence that will be responsible for preparing all Management Information (MI) and selected Regulatory information across Finance and Risk. This includes reporting such as Market Risk, Credit Risk, PL, MTM, Capital, VaR etc. This is a newly created function and hence provides the individual with a unique opportunity to build and own the organisation’s MI capability.The main purpose of the role includes: * Responsible for defining the future-state vision in term of MI platform * Translate Finance and Risk reporting and MI requirements Read more […]
SAS Developer- Credit Risk
Overview:A global bank is seeking a advanced SAS developer with strong experience to help build processes between the risk and finance systems. This is an initial 4 months contract with the potential to extend further.Job Duties: · Design a bridge building process between the Risk system (FRANK) and the Finance system (WALKER) for each of the 9 asset classes in scope. The process will need to highlight variances between the two systems. These will be categorised as valid or invalid.· Transition the process into BAU and work with the divisions to develop an agreed sign off process that Read more […]
AIS Team Manager- Control & Risk Job
AIS Team Manager- Control Risk (Job Number: 1314368)DescriptionAIS Internal Control Officers are responsible for performing internal control reviews and self assessments to assist in establishing and maintaining a sound internal control environment within AIS Operations. Additionally, they would work with the Global Head of Internal Control to ensure the control environment across all areas of responsibility are sound, and that BNY Mellon AIS Operations are meeting client needs. The incumbent will be responsible for management of control and risk activities for multiple business units or teams Read more […]
