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Quantitative Analyst-Risk and Structuring

Role Context Standard Life Investments (SLI) manages c. £170bn of multi-asset funds – cash, bonds, equities and property – on behalf of 2 million individual clients and several thousand institutional clients. The Risk and Structuring team is one of three areas in addition to Portfolio Management and Strategy that make up the Multi Asset Investing Team (MAIT): one of the central units within the investment area of Standard Life Investments. The primary responsibility of the risk and structuring team is the management of risk for multi-asset portfolios, with a focus on absolute return investing, Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments

Investment Bank Risk COO / Business Manager

The Risk function at the Investment Bank is responsible for evaluating, monitoring and controlling credit risk, market risk and operational risk to ensure comprehensive and effective control and independent challenge to the Investment Bank in its commercial objectives.  Main Function The Chief Operating Office (COO) function within Risk is responsible for the smooth operation of the overall Risk department, and is accountable to the Co-Chief Risk Officers.   The team is primarily responsible for facilitating key deliverables, challenging strategy and driving change in the organisation, as well Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments

Business Manager – FX/Institutional Sales, Controls and Operational Risk

This is a interim/FTC contract role – our client needs Candidates who can ideally start before the end of the year( i.e. one week notice period or available immediately). To be successful, applicants must have the following experience and knowledge: A minimum of five years experience gained from working within FX/Institutional Sales. An ability and track record of working with a community of senior stakeholders (cross functional) with supported with good influencing and leadership experience. From a Business Management perspective, applicants will demonstrate a good understanding of Controls Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments

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 […]

November 5, 2013 • Posted in: Financial • No Comments

Compliance Risk and Controls BA/PM

Position Description:Allegis Group Services are the onsite recruitment partner at RBS and manage all contract and temporary opportunities for RBS MIB (Markets and International Banking).We want to connect with you and provide visibility to all the latest opportunities and events at RBS. Detailed below is just one the many contact opportunities for which we are currently seeking candidates for. Join our Talent Community in 3 clicks and let us follow your career so we can contact you when we have opportunities to share.http://connect.find.ly/ags-rbsWe have an outstanding contract opportunity for Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments

Operational Risk & Control Manager

My client one of the world’s largest financial institutions and a long-established participant in the European marketplace are currently offering a fantastic opportunity for a high calibre individual to join their Operational Risk and Control team. This role will act as the first line of defence to ensure that all operational risks are suitably identified and mitigated for the LOBs within Derivatives Operations based in London ORC Specialist providing oversight of the processing areas within Derivatives Operations that are physically based in London. Global coverage for these areas is provided Read more […]

November 5, 2013 • Tags:  • Posted in: Financial • No Comments

AB&C Risk Assistant

ANTI-BRIBERY CORRUPTION OFFICER (Senior AVP/VP) – MAJOR GLOBAL BANKHays are working with a leading top tier Bank top supply an ABC specialist into their Group Financial Crime Programme.The candidate will be responsible for;Reporting to the Head of Anti-Bribery and Anti-Corruption to oversee and drive Group-level policy. Implementation of new policies/procedures is a key requirement, and subsequently requires a track record in this area. A strong understanding of the principles of financial crime risk management are therefore desirable.The role necessitates strong stakeholder management/influencing Read more […]

November 4, 2013 • Tags:  • Posted in: Financial • No Comments

Asset & Invoice Risk Analyst

Our client, a highly respected Banking, Securities and Asset Management institution, is seeking an ambitious, competent and pro-active Operational Risk professional to join their small team.Reporting into the Head of Asset Invoice Risk, the jobholder will be a key member of the Commercial Risk team, supporting the roll-out of the risk management framework across the business. You will be afforded the opportunity and responsibility for ensuring that sound risk management principles and practices are adopted and embedded across the business. Key responsibilities will include – – Supporting Read more […]

November 4, 2013 • Tags:  • Posted in: Financial • No Comments

Securitized products Quant Risk – Hedge Fund

A reputed securitized products/asset based hedge fund is looking for a highly motivated Analyst for risk management and portfolio analysis.  This position will work closely with Portfolio Managers and other team members to perform day to day risk and portfolio related tasks and reports, and to enhance our risk management frameworks.  This position will also assist in market, risk and fundamental related analysis using advanced statistical techniques and relevant tools and models.  A qualified candidate must have strong quantitative and analytical skills and the ability to perform complex analyses Read more […]

November 4, 2013 • Tags: , • Posted in: Financial • No Comments

EMEA Head of Credit Risk

The EMEA Head of Credit Risk responsible for credit risk management within the region and will have a dual reporting line into the EMEA CRO and the Global head of Credit Risk. Whilst focused on Credit Risk, the successful candidate will contribute to the effective governance of the EMEA region.  You will take an active role in EMEA committees and local boards, offering constructive challenge and helping to support the Committee/Board fulfil its role and responsibilities.  You will also facilitate and encourage informed and constructive debate and challenge on key credit risk issues and ensure Read more […]

November 4, 2013 • Tags:  • Posted in: Financial • No Comments