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Global Risk Management – Intern recruitment
The IRA – France team is currently composed of 3 peopleReporting to the Head of Investment Risk Analysis – France (IRA – France), your main responsibilities will be the following:Provide efficient and result-oriented IT support to the IRA – France team (and to other GRM teams when needed)Provide IT support in the construction/automatisation/improvement of Risk Reports and Risk monitoring toolsProvide IT support in the conception, construction and exploitation of databases (MS Access or other technologies)Provide IT support in the design, feeding and maintenance of SharepointsEnsure deployment Read more […]
VP/Director – Risk Management recruitment
Background:Experienced risk manager currently working for a clearing firm (multi assets with a major in listed derivative products) or holding a senior trading role in equity or fixed income derivatives.Position:Key Requirements:Risk Management• Overseeing daily portfolio risk reviews and analysis, escalation of margin call and risk decisions/risk identification process.• Ensuring the team is performing appropriate risk reviews with appropriate risk metrics and actions escalated accordingly.• Ensuring appropriate focus on daily risks, market developments and improving procedures.Risk/Margin Read more […]
Risk Management BJ, Morgan Stanley Bank International China (MSBIC), Credit Risk, Vice President recruitment
Position Category: Risk ManagementPosition Title: Risk Management BJ, Morgan Stanley Bank International China (MSBIC), Credit Risk, Vice PresidentJob Level: Vice PresidentLocation: China – BeijingEducation Required: Refer to Position DescriptionPosition Description:Based in Beijing, this role would represent Morgan Stanley’s regional credit risk management team in the Firm’s China domestic operations, including but not limited to Morgan Stanley Bank International China (MSBIC). This role will report directly into the Firm’s China Chief Risk Officer. Ideal candidate would logically support a broader Read more […]
Senior Audit Manager for Risk Management recruitment
With extensive experience working in the Finance division of Asset Management you will have achieved previous success in a Senior Audit management position. Your remit in this role will have responsibility for Audit across Risk Management. You will have a broad understanding of Market, credit and Liquidity risk and be adept in Audit, financial planning, risk assessments and team management. Working alongside senior stakeholders such as the CRO and all Business / Product managers you will be a central and pivotal figure within the Senior Audit and Risk Mgmt team.
Risk Management – Capital Markets – Business Analyst – Project/ Programme Manager – Consultant recruitment
Our client is a well respected financial services consultancy with a market leading risk management team. It works with Tier 1 Banks and Financial Institutions on strategic risk and regulatory change initiatives involving risk management technology and processes.Due to success and growth, it is seeking to hire business analysts, project / programme managers and consultants to work on strategic initiatives involving IT and operations improvement of the risk management function at leading investment banking and FS clients.Currently working with a consultancy firm, leading bank or financial institution, Read more […]
Risk Management Analytics Relationship Manager recruitment
ABOUT MSCI Inc.MSCI is a leading provider of investment decision support tools, we offer a range of products and services – including indices, portfolio risk and performance analytics, and governance tools – from a number of internationally recognized brands such as Barra, RiskMetrics, CFRA, FEA and ISS.For further information on MSCI, please visit our web site at www.msci.com. POSITION OVERVIEW:The Relationship Manager team is composed of experienced financial professionals that provide first tier support for our clients around the world. This Relationship Manager is responsible for maintaining Read more […]
Investment & Risk Management Professional (Manager/ Assistant Vice President) recruitment
A fantastic opportunity for a Actuarial Analyst with an interest in risk management and investments to o join a well established and successful International Insurance company has become available. Based in the Singapore office this is a role that will support the Company in driving financial reporting and business related projects.The successful candidate will report to the Head of Investment Risk Management Department and will play a critical role in the enhancement of the corporate risk governance framework in line with forefront developments in enterprise risk management. In addition he/she Read more […]
VP – Risk Management – Tier 1 Investment Bank – London – 130k recruitment
VP – Risk Management – Tier 1 Investment Bank – London – six figure package My client, a Tier 1 Bank, is going through record growth with the expansion of the one of the leading derivatives platforms globally. It is therefore growing one of the most advanced Risk functions headquartered in London at a similar rate. As part of this we are working with a global director who is building a high profile back testing team to oversee the global expansion of the risk team with Basel III, CRD IV coming out. They are keen to hire candidates from a Credit Risk/Market Reporting or BA background as well as Read more […]
Analyst – Enterprise Risk Management recruitment
Job Purpose: The role is a critical and influential one. Initially deployed into a global project role with broad responsibilities, this individual will use their skills to progress significant change in the organisation. Working with relatively flat team drawn from variety of backgrounds, this person will:Participate in the daily project management activities, including preparation of project presentation materials Work with workstream leads and participants to progress data collection, analysis, design action plans and drive actions to completion Interact with Senior and mid-level management Read more […]
VP Credit Risk Management / Global Planning Job in New York City 10038, New York US
Our client, a major investment bank, is seeking a VP-Credit Risk Planning professional to join its office in New York City. The ideal candidate will have 7+ years of trading/risk management experience, understands banking regulations especially the Dodd Frank Act, and possesses a broad knowledge across various market products (in particular FX and Derivatives). Excellent credit and risk management experience Major Responsibilities:Support the credit approval process for FX and Derivatives by identifying, resolving, or escalating problems that Read more […]
