Market Risk Manager – Asset Management

My client, an Asset Management firm with over $25Billion AUM is looking for two new Market Risk Managers who will be responsible for the Risk Control and Valuation of the Interest Rates Trading business. They are looking for one Market Risk Manager to cover Flow Rates and one to cover Exotic Rates. The role will include Risk Management, Risk Reporting, P L Attribution, Valuations, Risk Analysis and supporting a new Risk System Implementation. This is an excellent opportunity to join a thriving buy-side firm in a broad role. Requirements: – Market Risk Management / Trading / Product Control experience Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

Global Markets & Treasury Sales

The Global Markets Treasury professional will ideally offer experience that demonstrates capability to develop into a leader of this Global Markets Treasury team, or perhaps has the experience to take on that leadership role immediately. The successful Global Markets Treasury hire will be required to onboard a portion of their existing corporate client portfolio and have the ability to develop a Singapore corporate client base. The target corporate client base will ideally be a mix of Small Medium Enterprise (SME) and Mid Market Enterprise (MME). The successful Global Markets Treasury professional’s Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

Fixed Income Client Portfolio Manager

My client is one of the world’s pre-eminent brands in financial services with a reputation for excellence that is well recognized by both clients and competitors alike. The asset management business manages almost a trillion dollars on behalf of predominantly institutional investors including some of the UK’s top pension funds. Fixed income products have always been one of their primary offerings and they currently have an excellent opportunity for a Fixed Income Client Portfolio Manager to join the team. Your role will be to sit as part of the team and you will be seen as the lead portfolio Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

VP and Associate, Real Estate Debt, Lender

Our Client is a Multi-Billion Dollar Balance Sheet lender (Islamic Finance) with plenty of dry powder and liquid sovereign wealth backers for more capital if required. They urgently require two Debt RE professionals to assist in the Origination, Valuation and Acquisition of Debt in Real Estate investments. Ideally you will be;- Real Estate investment or Debt Advisory experience- Solid Modelling and DD skills- Recognised Professional and strong academic qualifications.- Associate or VP level – Good company background (Lending Bank, PE etc) If this is you and you are looking to work for a leading Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

Asset Management Fixed Income Performance Data / Reporting Analyst

Asset Management Fixed Income Performance Data / Reporting Analyst Competitive Remuneration Based West End, London (Mayfair base, commutable from City) Permanent Client Reporting / Data Analyst / MI Analyst / Performance Analyst required by an asset manager to ensure that their data production for client and consultant database reporting is robust and delivers clean, accurate data in a timely fashion. Please note that fixed income performance analysis experience is essential and candidates that cannot demonstrate this will not be considered for the post. Our Client Our client is based in Mayfair. Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

Fund Manager (Fixed Income)

Responsibilities To assist the Managing Director to manage a medium size asset management firm Mainly responsible for managing global fixed income, such as interest rate swaps, currency swaps, loans, bonds and convertible bonds, etc and RQFII products Participate in marketing, fund raising products development Assist in formulating investment policy, strategy asset allocation Supervise the type 9 regulated activity and oversee the daily operations of asset management team Set AUM targets and business development growth plans Requirements University graduates in Economics, Finance or related discipline Read more […]

November 8, 2013 • Tags: , • Posted in: Financial • No Comments

Portfolio Manager

NBIM seeks to recruit a dedicated and results oriented professional with advanced Fixed Income knowledge in Emerging Markets local currency debt. The Fixed Income department is responsible for managing all NBIMs Fixed Income portfolios. Our team of portfolio managers is currently located in New York, London and Oslo. Your role will be within the Fixed Income Department, and will be focused on managing Fixed Income Portfolios in local currency markets in Central and Eastern Europe, Middle East Africa (CEEMEA). The position will be located in Oslo or in London and travel will be required. Main Responsibilities: Read more […]

November 7, 2013 • Tags: , • Posted in: Financial • No Comments

Economic / Credit Risk Modeller

My client is a global organisation building a new team to focus on developing a system to monitor broad systemic risk across economies, banking and insurance systems. You should have experience of broad risks inherent in insurance/banking or national economic systems. This role will be very broad and top-down (ie regions rather than looking at individual firms), and will also be global. In part the aim is to standardise the approach to all geographic regions from Latam to Asia. Modelling is not overly technical – eviews will suffice. It is more about common sense application of a suite of models, Read more […]

November 7, 2013 • Tags: , • Posted in: Financial • No Comments

Market Risk Business Analyst – Analyst or AVP

My client, a Tier 1 Investment Banking client, has a requirement for an Analyst / AVP level Market Risk Business Analyst to work on a new Historical Simulation VaR Engine build programme. The team report into Risk and are part the Business facing Risk Projects Team. The project is to scope out and aid with the re-design and implementation of a new Historical Simulation VaR Engine for all asset classes globally. This is an excellent opportunity to join a global project team working with the Front and Middle Office, including Traders, Market Risk Managers and Quants. Requirements: – Quantitative/Numerate Read more […]

November 7, 2013 • Tags: , • Posted in: Financial • No Comments

Client On Boarding Manager, Compliance

Global Investment bank is looking for a head of client On-boarding Compliance.Contract or Permanent. Competitive rate. Based in canary wharf Role itself:The role will be to manage the London client on boarding team. Customer base includes large corporate financial institutionsClient facing role Essential experience:Global markets knowledge and experience essential, ideally fixed incomeUnderstanding KYC and AML for large institutional clients in European and non-European jurisdictions Read more […]

November 7, 2013 • Tags: , • Posted in: Financial • No Comments