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Head of Operational Risk | Global Asset Management Firm
A global Asset Management Firm are seeking 3 Senior Operational Risk and Enterprise Risk Candidates to work with a number of different Business Lines as well as with the CCO, CRO and other senior Stakeholders. This is a massive opportunity to come into an award winning firm at a VP-Director level and continue the development of this industry leading operational Risk Group. The ideal candidates are able to come from a number of different Operational Risk backgrounds but all must have the following skills-experience:- 5+ years experience around operational risk or similar field such as Audit or Read more […]
Portfolio Risk Manager | Leading International Asset Management Firm
A Global Asset Management Firm is looking to add a market risk analyst level candidate for its front office market risk hedge fund team in Paris- Portfolio Risk Professional | Hedge Fund Risk- Paris, France- Base Salary Flexible + excellent front office bonus potentialA leading Asset Management Firm is looking to add a portfolio risk manager for its front office market risk hedge fund team. The role will have a great deal of exposure to areas internally such as sales, structuring and front office derivatives desk. The team is looking to double the size of its fund portfolio therefore the risk Read more […]
Asset Management arm of a Top Investment Banks Seeks a Credit Risk Analyst
Top Investment Banks Asset Management arm Seeks a Credit Risk AnalystLocation : New YorkSalary $80-100k Base, plus benefits and bonusThis Global Asset Management group is looking for a analyst who has had past experience in the credit analysis of Banking and Brokerage counterparts.Although the candidate needs this experience you will not only have a focus on Credit, but also be taught and be involved in the Market, Liquidity Operational Risks across the asset management division.Brief Summary of aspects of the role• Carry out Credit risk analysis of US counterparts across all assets and Financial Read more […]
British Commodities Firm Seeks a Senior Risk Exposure Analyst with Management Responsibilities
Top Energy Trading Firm Seeks a Senior Exposure Risk ManagerLocation : LondonSalary : £65k + Base salaries (depending on skill set)This Top Energy trading firm is seeking a Senior Analyst-Manager who will report directly into the Head of Credit.The Groups Role- Quantitative and qualitative analysis of a portfolio of trading counterparts- Monitoring of counterparts and industry developments an reporting of limit breaches- Negotiate ISDA documentation with internal and external lawyers- Carry out credit risk reports- Communicate with Front Office Personnel, Internal Accounting Personnel and Auditors- Read more […]
Management Accountant ACCA ACA CIMA/ Risk BA
Management Accountants (ACCA; ACA; CIMA) with Management reporting, Credit Risk reporting or Regulatory Reporting experience gained in Banking or Financial Services business, who are looking to get more involved in a Business Analyst or Systems Analyst role with exposure to the IT Systems within an Investment bank should read on!We are looking for Management Accountants with experience of working in the ‘Accounting’ function or Management Reporting function of a bank or Financial Services company, to train and develop into a Business Analyst or Systems Analyst working with Read more […]
Credit Risk Analyst, Portfolio Management
A Senior Credit Risk Analyst, Portfolio Management – Retail, is required to provide portfolio analysis and insight, supporting credit management strategies that enable the Bank`s business across Credit Card and Personal Current Account portfolios to control lending risk, deliver sustainable growth and meet customer needs.The Senior Credit Risk Analyst will be able to perform the following:- Provide analysis and insight into customer behaviour, credit performance and profitability in order to shape value-creating lending strategies within the Personal Current Accounts and Credit Read more […]
A Leading Investment Management and Services Company seeks FCM Risk Officer for a Managing Director level position. recruitment
-FCM Risk Officer-Based in New York City-The candidate will have no less than 8-10 years experience-PhD’s or M.B.A’s are preferred. This risk officer will oversee the necessary systems and the embedded models used to measure the market/credit risk. Once counterparty and market concentration limits are established, this individual will oversee the dynamic monitoring of these limitsThis role will have the following responsibilities:- This Risk Officer will serve on a number of senior risk committees and interface with regulators, clients and other risk officers within the Firm. Read more […]
Director, Trading Risk Manager, Large Asset Management firm recruitment
A position on Market Risk Management team offers a successful candidate a unique opportunity to be part of a dynamic team that is developing and communicating market risk management trading risk and counterparty credit modeling practices. The team is comprised of trading focused associates that support Chief Market and Liquidity Risk Officer in driving the corporate market risk agenda. The successful candidate will have the opportunity to manage the Investment Portfolio Risk and Return Analytics, Value at Risk and Counterparty Credit Exposure team. The team is responsible for implementing all Read more […]
Legal Counsel / Legal Risk / Private Wealth Management recruitment
The Role:The successful candidate will manage legal risks and provide strategic advice to ensure that legal support is given to specified areas in the Private Wealth business.The individual will advise the Private Wealth team on changes in law and practice that will impact the business area and to deliver accurate information to ensure the needs and expectations of the client are met.Assist Private Wealth team on all legal aspects, including management of costs, legal due diligence, legal structuring, negotiations with clients and legal input in transactional documentation.Advise the Private Wealth Read more […]
Investment Bank – Prime Brokerage – Risk – Change Management recruitment
This opportunity can offer you the chance to manage a small team focusing on PB, SBL and ETD collateralised trading and margin. You will work closely with Clients and internal stakeholder to ensure that the firm’s margin risk exposure is evaluated and monitored consistently with the Firm’s internal risk guidelines. This individual will contribute significantly in analysing and determining appropriate collateral/margin requirements.You will get to cover a wide range of products including Cash, Derivatives and Fixed Income.Description: Duties ResponsibilitiesDaily assessment of Hedge Fund margin Read more […]
