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Manager, Operational Risk & Compliance, Macquarie Relationship Banking, Risk Management Group*

Operational Risk Compliance Manager, Macquarie Relationship BankingRetail Financial Services Career enhancement opportunity to build on your in-house commercial experience Daily client and senior stakeholder interactionAbout the roleYour key responsibilities will include:Proactively identifying compliance and operational risk requirements for the Lending and Deposit product lines and assessing the existence and effectiveness of the risk framework Assessing new / variations to product and business opportunities in the Lending and Deposit business for operational and compliance risks and representing Read more […]

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

MD – Quantitative ALM (PhD-Statistics) – Model Risk Management

A major global financial services organization is seeking a MD level-Quantitative Risk Manager with 10 years experience building and implementing Insurance Company/Actuarial Modeling systems to join their Risk Management team. Using your experience in risk methodology and analytics, participate in high profile Asset/Liability Risk Capital projection projects [Solvency II] by collaborating with senior managers across business lines. Must have strong quantitative modeling skills and the ability to synthesize complex analytics [liability cash flows, accounting and risk metrics] to project future asset/liability Read more […]

August 2, 2013 • Tags:  • Posted in: Financial • No Comments

Managing Director Model Risk Management, Governance

One of the largest global insurers is seeking qualified candidates to join the Independent Validation (IV) unit within the Corporate Enterprise Risk Management function. Interested individuals will have a unique opportunity to obtain a broad perspective on the analytical capabilities of a firm with a highly complex balance sheet with extremely diverse assets and liabilities. Analytical models requiring review and effective challenge span from variable and fixed annuities, predictive premium pricing and natural catastrophe models, to complex structured products and economic capital models. Establishing Read more […]

August 2, 2013 • Tags:  • Posted in: Financial • No Comments

Credit Risk Management Trading Desk Officer

Job Description:  The primary function of this position is to monitor and report credit exposure created by trading activity and ensure compliance with approved limits.  This person will play a key role in helping to assess and manage the risks (particularly credit risk) within the Capital Markets area, including Fixed Income Derivatives, Equity Derivatives, Foreign Exchange, Repo and Fixed Income trading.  Responsibilities include calculating, reporting and reviewing counterparty exposure; ensuring that all trades have received the necessary credit approvals and are operating within approved Read more […]

August 2, 2013 • Tags:  • Posted in: Financial • No Comments

Director – Business Operational Risk Management

Retail focus – Asset Finance/Lending businesses Global remit, lead and manage a international team of 5 Hands on role, review existing processes, identify opportunities for improvement and execute changeAbout the roleAs the Director of Business Operational Risk Management (BORM) your objectives will be to ensure Operational Risk is appropriately addressed and managed within the Corporate and Asset Finance business, with a strong focus on retail leasing. You will manage a small global operational risk team focusing on a variety of leasing businesses located in a number of offices globally. Working Read more […]

July 31, 2013 • Tags:  • Posted in: Financial • No Comments

Operational Risk Manager, (Targeted Initiatives & Projects Focus), Risk Management Group

About the RoleThe Risk Management Group (RMG) is an independent, centralised unit responsible for assessing and monitoring risks across Macquarie. This includes market and liquidity risk, credit risk, compliance risk and operational risk. RMG personnel liaise closely with all operating areas to ensure risks are understood and properly managed.Specific responsibilities include:Identification and management of projects designed to enhance and improve the operational control environment of the Firm. Liaising with and managing stakeholders from across the organisation as part of a project team or as Read more […]

July 31, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Analyst, Service Team – Wealth Risk Management

A household name in the market, Commbank are proud of our reputation of being Australia’s number one Bank in customer service in our 101 st year of trading. A great opportunity has arisen in our Wealth Risk Management department. The TeamCFS Wealth Risk Management provide risk advice and support for the Advice business within Colonial First State. CFS WRM are involved in a wide range of activities which include risk profiling, monitoring and issue management, project risk support, compliance with obligations, regulator contact and breach management.The RoleThis role supports the CFS WRM team and Read more […]

July 30, 2013 • Tags: , • Posted in: Financial • No Comments

General Manager- Portfolio Risk Management AAP

POSITION AVAILABLE  :    A Leading Financial Institution branch in Singapore are growing their team and currently looking to fill a senior role of “General Manager (E4 level) – Portfolio Risk Management AAP” REPORTING TO       :           Head of Risk Management AAP (E3 Level)                                                 REQUIREMENTS     :BA or MA in Computer Science/Statistics/Mathematics/MIS related;At least 5 years of working experience in financial or banking businesses;Strong knowledge and solid experience in portfolio Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Berater Risk Management Solutions (m/w)

Zur Verstärkung unseres Teams suchen wir (Senior-/Junior) Berater, die innovative Lösungen im Risikomanagement entwickeln. Sie unterstützen unsere Kunden bei der fachlichen Konzeption von anspruchsvoller Lösungen im Risiko-Management bei aktuellen Themen wie CVA, Marktpreisrisiko, Liquiditätsrisiko und Central Counterparty Clearing.Ihre AufgabenBeratung und Projektarbeit für Finanzinstitute in den Bereichen IT,Handel und Risiko-Management,Fach-Konzeption von Anforderungen für innovative Lösungen im Risikomanagement Umfeld,Umsetzung von finanzmathematischen Algorithmen für die Bewertung Read more […]

July 26, 2013 • Tags: , • Posted in: Financial • No Comments

Director Risk Management

Our client is leading global Insurance Company serving commercial, institutional, and individual customers. They are accelerating the growth of their business in the Region. Looking to hire high caliber professionals with relevant expertise to their diverse team. Responsibilities: Provide the highest level of internal and external customer service.Manage mortgage insurance operation including business development initiatives and manage cost center budgets.Proactively manage mortgage insurance regulatory environment utilizing internal and external resources.Directly hire, manage and develop branch Read more […]

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