Search Results
Risk Management Manager recruitment
Responsibilites:Assist to improve the Risk Management framework for the CompanyInitiate new business risk assesements and to implement solutions whenever necessaryTo ensure that the Business Units are in line with Risk Management practicesPoint of Coordinator for internal Risk meetings across DepartmentsTo be point of contact whenever there is Risk issues across DepartmentsKeeping in line with new changes in Risk Management in the Market and to implement changes whenever necessaryRequirements:Possess Degree qualificationsPossess more than 5 years of relevant experience in Risk ManagementPossess Read more […]
Malaysia Head of Operational Risk Management, T&O recruitment
• Major Bank • Technology Operations (“TO”) Focused• Malaysia BasedOur client is a major bank with a well-established presence in the region including Malaysia. It is looking to recruit a dynamic individual as their Head of Operational Risk Management, TO for their Malaysia operations. Reporting to Malaysia Head of TO, you will manage the policy operations assurance function for the Bank’s Technology Operations activities in Malaysia. You will play an integral role in monitoring risk and control development, develop and implement necessary risk and control policies. You will Read more […]
Model Validation Quants to join Nordea Market Risk Management in Copenhagen recruitment
Model Validation Quantitative AnalystsWe are looking for experienced model validation quants with experience in Equity, Credit or FX, that will be part of a team responsible for the model validation and model approval processes of the bank. You will work closely with the other members of the team and other market risk teams as well as having extensive contact with other areas of the bank, interacting directly with Front Office quants and trading desks. Your assessments will form important input for senior management risk decisions.You will be responsible for ensuring that the models for risks and Read more […]
Application Support, Risk Management Technology, Technical Supp
Harrington Starr Harrington Starr are a technology recruitment firm with a focus on financial services, banking, insurance and commodities providing permanent, retained, contract and interim services. View all Harrington Starr job listings
Enterprise Risk Management
Full Job Description To take responsibility for determining the capital requirements of the firm including the assessment of both regulatory and economic capital of the firm on a day to day and forward looking basis. This involves having solid understanding of the methodologies applied, the key risk drivers and assessing and highlighting the impact of potential vulnerabilities. Interpreting regulatory rules and developing appropriate policies will form a key aspect of this role. Main responsibilities of the department include:- Management and assessment Read more […]
Market Risk Management : AVP – VP level recruitment
With a strategic focus and significant growth momentum in the region, this bank is a major player in the Asia Pacific markets, providing a full range of banking services to a diverse network of clients across consumer and corporate banking.This is a critical role at group level.Responsibilities- Monitor transactions to assess completeness and accuracy of market risks from a Value-at-Risk perspective;- Develop business specific stress testing scenarios by studying trading strategies in order to discover hidden risks in the portfolio;- Identify and initiate projects and processes that aid in improving Read more […]
Banking ALM and Risk Management Professional recruitment
– Responsible for the full project implementation life cycle of Fermat products and ensuring successful delivery of Moody’s applications- Perform data mapping, product configuration, parameterisation and gap analysis between functionalities and clients business requirements- Define business and functional requirements- Identify, assess and resolve issues- Conduct user training- Manage client relations and expectations throughout project life cycles
Equities Market Risk Management – Front Office – Tier 1 Investment Bank recruitment
Front Office Equities Market Risk Analyst position at Tier 1 Investment Bank based in Canary Wharf. Based on the trade floor, this is an excellent opportunity to join a top tier Bank with direct access and interaction with traders daily.The role will consist of a combination of Market Risk analysis, limit monitoring, reporting, and managing ad hoc projects that affect the Risk Management of this trading desk.Situated on the trade floor, this is an excellent move for someone in the middle office looking for direct access / experience of dealing with traders. Successul candidates will have 3 years+ Read more […]
Economist (2012-026-EXT) Risk Management Office recruitment
Together with the central banks of the countries in the euro area, we take decisions that affect the lives of people living in the euro area.We recruit staff of high calibre with integrity, strong team spirit and an intrinsic motivation to work for Europe. We offer a dynamic and multicultural working environment, opportunities for professional and personal development, and an internationally competitive remuneration package. Further information about this position and the required profile is available through the ECB’s application system Read more […]
Market Risk Management – Global Rates and Global Credit – VP recruitment
About Deutsche Bank A Passion to Perform. It’s what drives us. More than a claim, this describes the way we do business. We’re committed to being the best financial services provider in the world, balancing passion with precision to deliver superior solutions for our clients. This is made possible by our people: agile minds, able to see beyond the obvious and act effectively in an ever-changing global business landscape. As you’ll discover, our culture supports this. Diverse, international and shaped by a variety of different perspectives, we’re driven by a shared sense of purpose. At every level Read more […]
