Search Results
FX developer wanted for Risk Role
This role will suit candidates with interest and desire to work inside risk management. For more details, please get in touch with chris.finn@eamesconsulting.com
Commodities Trader wanted for VP Desk Risk Manager role
This role will suit a trader who is looking for a different challenge in your career. The ideal profile – Trading of commodities – physical ideal of oil or agris – Risk Management exposure – Solid academics International based candidates are very welcome. Please drop your application to chris.finn@eamesconsulting.com
Vice President Latin American Market Risk
Work with each trading desk to ensure that all relevant market risk factors are properly identified and formally captured in official risk systems Develop and maintain an appropriate independent market risk limits framework with applicable limits and triggers Independently monitor business compliance with the firm’s market risk-related policies Review and approve new transactions, providing transactional support and guidance on risk issues during product development, in particular for transactions with potential reputation and franchise risks Oversee risk exposure measurement and limit monitoring Read more […]
Market Risk Manager FIC, AVP
Market Risk Manager FIC, AVP The Client International bank with its headquarters in the US The Role Production and analysis of risk reports. Dealing with new product requests. Development of risk related tools to strengthen different processes. Manage FO relationship and check limit enforcement. The Future Possibility to work on other risk related topics Opportunity to coach junior people rotating on different desks Candidate Specification 5 to 7 years of market risk management experience in IR and FX products Understanding of the Greeks sensitivities and their behavior. Perfect knowledge of VAR Read more […]
Head of Operational Risk (UK)
THE COMPANY: Our client is a leading global financial group headquartered within Europe. They are seeking a senior Operation Risk candidate to join their London office as Head of Operational Risk for the Corporate Banking business. RESPONSIBILITIES: Support the Director of Operational Risk in developing, implementing and embedding the operational risk framework tools and methodologies, therefore enabling the firm to identify, assess and where appropriate mitigate the major operational risk exposures. Contribute towards the improvement of the adequacy and effectiveness of operational risk management Read more […]
Senior Risk Analyst
Reporting to the Risk Manager, the Risk Analyst will be responsible for assisting with the implementation and management of global Risk Management policies and procedures, with specific focus on the management of Credit and Market Risk exposures generated through the trading activities of the company. They will need to ensure in full compliance with the relevant regulatory requirements on risk management. Responsibilities will include: · Assisting in the implementation of Global Risk policies and procedures, · Support the dealing function on ad hoc risk issues Read more […]
Metals Market Risk Manager
The Role In this role, you will be: An integral member of the global Commodities Risk Management team, covering the commodities business conducted in the London office. Performing analysis and approval of new products and businesses via the New Product Approval (NPA) process. Limit setting, monitoring enforcing, ensuring appropriateness of Value at Risk (VaR) and Economic Capital (EC). Managing at least two people globally. The Candidate In-depth knowledge of metals products structured commodities. Excellent experience in market risk management. Strong communication skills. Good quantitative Read more […]
VP Ops Regulatory Risk and Control
The EMEA Operations Regulatory Control team is part of the Global Markets Operations function and ultimately ensures the appropriate governance and oversight of Regulatory Reporting (Client Assets and Transaction Reporting) for entities regulated by the UK Financial Conduct Authority. The team works with Operations line management to strengthen the control environment and improve control processes around Client Assets and Transaction Reporting and provide an independent assessment of related control and risk issues for senior management. The overall team is ten people strong, 8 focussing on Client Read more […]
Location Strategy – Near-shoring/Off-shoring – Change Management – Top Tier Global Investment Bank – £5
The selected role holder will be working in partnership the Global Delivery Directors and will be responsible for: Migration Planning, management of risk and issues and dependencies. It is imperative that applicants have the following: Investment Banking/Capital Markets experience Product Knowledge – Fixed Income, Commodities For more information, feel free to contact me on Kam.Bamrah@alexanderash.com. To be kept in the loop of other, similar Change and Transformation (Contract) roles – lets connect on LinkedIn: uk.linkedin.com/in/kambamrah/ – we work for leading Investment Banks, Management Read more […]
Head of Portfolio Management (PM)
Munich Re (MR) Group is one of the world’s largest reinsurers. It was founded in 1880 and is based in Munich, Germany. It offers reinsurance, primary insurance, and asset management services. MEAG is the investment management center of the Munich Re Group. As of June 30, 2013, it had more than €228 billion in assets under management, making it one of the major asset managers in the European financial sector. MEAG primarily manages the Group’s investments, including securities, real estate and alternative assets. Beyond this, it offers its expertise and know-how to both institutional investors Read more […]
