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Client Focussed Market Risk Manager with Engineering background required for Cross-Asset, Multi-Strategy hedge fund

Client Focussed Market Risk Manager with Engineering background required for Cross-Asset, Multi-Strategy hedge fund New York, USABase Salary: $130,000 – $150,000 + Bonus and Added BenefitsA leading New York based hedge fund based is looking for a cross asset risk manager with a background in financial engineering to be involved in the development, analysis, understanding and interpretation of the multi-asset, multi-strategy portfolios for clients and senior management within the business.  The successful candidate should have an understanding of factor models, good programming ability.  This Read more […]

October 25, 2013 • Tags: , • Posted in: Financial • No Comments

Senior level energy focused risk control manager top tier commodity trading house

Senior level energy focused risk control manager top tier commodity trading house-          VP -SVP | US Commodities Market Risk Control-          Houston | Texas-          Base Salary – $120,000  – $150,000  + [Bonus additional benefits] The Market Risk Organization for Global Commodities is seeking to hire an VP – SVP  based in Houston, TX to be primarily responsible for the market risk advisory and control of the global Commodities activities, of note physical/financial commodities. The risk manager will have the following responsibilities: Identify and validate Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Internal Audit Manager, Market Risk / Modelling

A Leading UK bank is looking to secure an Senior Audit Manager to join their specialist Market Risk Internal Audit team. This is a growing function with this role being a new key Internal Audit hire. If you would like to be a part of anenvironmentwhere you can make your mark and carve a niche for yourself within Internal Audit then this is theplacetoachievethis. The role will be to act as a Relationship Manager and/or Specialist and/or Engagement Lead to deliver a complex portfolio of audits, harnessing a deep understanding of business strategy, controls and risks to provide reliable and independent Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Front office market risk position working on money markets and traded credit for top tier global investment bank

–          Market risk Manager | Money markerts /Traded Credit-          London | UK-          Salary £70,000-£90,000  + bonus+additional benefits Front office market risk position working on traded credit for top tier financial institution A leading investment bank in London is looking to recruit a market risk manager at VP level that has experience within money markets and traded credit in market risk and has a sound knowledge of the following areas; distressed debts, high-yields and loans. The role will be focusing on developing the risk strategies for Read more […]

Chief Risk Officer (CRO) – Expanding Bank

                                        Chief Risk Officer (CRO) – Expanding Bank – CambodiaLocation: Cambodia Salary: $80000 – 130000 USD  The Role An expanding bank whose main shareholders are a global financial institution is looking for a new CRO to take control of the Head Office based in Cambodia. The chosen candidate must have international experience within risk management at a SVP level or above and speak mandarin. This is an exciting opportunity to be part of a growing organisation that has seen its employees double in a month. The candidate Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Financial Services Risk Manager (Systems & Process)

Think Global recruitment is working with this global leading firm to source talented Risk professionals for this fantastic opportunity in London. This role offers a prestigious client base of leading Financial Service Institutions and the chance to really enhance your CV with London experience.   The role based in the Financial heartland of London in one of the firms leading worldwide offices. You will gain invaluable experience that will help build the foundations for a lucrative career in the Financial Services sector.   You will be given an excellent salary and benefits package as well being Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Vice President-Operational Risk Manager

Company overview Nomura is a leading financial services group and the preeminent Asian-based investment bank with worldwide reach. Nomura provides a broad range of innovative solutions tailored to the specific requirements of individual, institutional, corporate and government clients through an international network in over 30 countries. Based in Tokyo and with regional headquarters in Hong Kong, London, and New York, Nomura employs over 27,000 staff worldwide. Nomura’s unique understanding of Asia enables the company to make a difference for clients through three business divisions: retail, Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

FX Market Risk Manager

As this privately owned Commodities Trading house has developed a significant global commodities trading platform, FX Trading has become a key and essential function for the firm. To ensure that the FX exposures are effectively Risk Managed, there is now a requirement for an experienced FX Market Risk Manager to join the firm. The role will include: – Limit management, risk system enhancements, monitoring and reporting trading risks, develop, produce and report VaR, EaR and CFaR of portfolios, calculate and monitor Greeks, back-testing, stress-testing, assess the risks of new business ventures Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Risk Executive, Institutional Banking, Operational Risk

A household name in the market, Commbank are proud of our reputation of being Australia’s number one Bank in customer service in our 101st year of trading. A great opportunity has arisen in our Institutional Banking Markets (IBM)Operational Risk team.The TeamProvides advice and support to the IBM businesses in implementing and embedding the Operational Risk Management Framework (ORMF).Businesses across IBM supported by the Operational Risk team include Corporate Finance, Debt Markets and Specialised Finance within Corporate Banking Solutions, and Client Coverage Group across the Institutional Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments

Advisory Portfolio & Program Management, Executive Director, Perth

Advisory Portfolio Program Management – Executive Director About The Opportunity You will be part of a team that advises on the strategic objectives of a business and the outcomes of a complex program to be aligned as we support our clients to improve the performance of programs; making the business better and enhancing controls and process. About You In your role as an Executive Director in PPM you will: Support clients with successful delivery of their programs, leading to the growth of a business Be involved in complex capital programs spanning the entire lifecycle – from concept, feasibility Read more […]

October 25, 2013 • Tags:  • Posted in: Financial • No Comments