Business Analyst – Market Risk recruitment
The required skills for this role are:• 5 years Market Risk experience in Investment Banking• A good working knowledge of various securities – Equities, Fixed Income, Credit and related Derivatives• Good working knowledge of testing, drawing up functional specs and assisting with change requests• Exposure to IRC, CVA, or back testing would be an advantageThe rate is very competitive for a Business Analyst market and is City base. It is initially 6 months but due to the length of the programme extensions are likely. Please apply immediately if you have the relevant Business Analysis Read more […]
Consultancy – Risk – ALM – Liquidity / Market risk recruitment
ResponsibilitiesAs part of a team of professionals, provide advisory services to clients on the development and implementation of risk management policies, systems and controls, and regulatory issues within Asset Liability Management Review ALM risk management policies and procedures against Hong Kong/China regulatory requirements and against the best international practices; identify opportunities for enhancement; assist clients in developing an implementation strategy and in resolving implementation issuesAssist clients in understanding and meeting regulatory requirements, including responding Read more […]
Senior Audit Manager, Market Risk recruitment
Group Finance includes central finance areas, specialist teams and divisional finance teams which supporting our front-line businesses. Our specialist teams are; Group Chief Accountant’s, Group Corporate Finance, Group Finance Business and Executive Support, Group Financial Planning and Analysis, Group Internal Audit, Global Services Finance, Group Strategy, Group Tax, Group Treasury, and Investor Relations. An integral part of Group Finance, Group Internal Audit is located across the globe with over 600 employees providing executive management with opinions on how their businesses Read more […]
Project Manager – Market Risk recruitment
As an experienced project manager, your skills will include the following:Educated to degree level or equivalent Major in Finance, Accounting or technical discipline Strong financial markets and deep market risk knowledge e.g. risk methodologies (e.g. VaR, IRC, ERC), risk practices, products, markets, risk conceptsProven Market Risk Management line experience within the Financial Services sector Proven experience in the Financial Services sector in a Market Risk change management / consulting role Experienced project manager with proven project management and delivery ability Proven change experience Read more […]
VP- Basel II Reporting (Credit risk/ Market risk) recruitment
Main Function• Regulatory Reporting – Assisting with the calculation and analysis of Risk Weighted Assets (RWAs) in accordance with Regulatory bodies.Main Duties• Collation and production and reporting of management information relating to total Basel II RWAs (Risk Weighted Assets) to enable senior management and business line heads to monitor business levels and fluctuations on a daily, weekly and monthly basis. • The provision of commentaries and various value added data to facilitate the timely production of the daily, weekly and monthly reporting packs. • Assisting others, as Read more […]
Implementation Consultant – Credit/Market Risk recruitment
Implementation Consultant – Credit/Market Risk Regional Role – Travel / Client Interaction Quantitatively Orientated Consultancy Up to $120,000 + Highly Competitive Bonus + Career Development Global organisation with established clients, offices around the globe and a solid growth strategy, requires mobile, eager, high aptitude, personable self-starters to work with clients who have purchased risk management systems and who are now in need of integration expertise. Ideally, we are looking for experienced implementation consultants from Finance IT Consulting firms, internal IT departments in Read more […]
Business Analyst / Architect / Credit Risk / Market Risk recruitment
Lab49 looking for an experienced Business Analyst (BA) with significant Risk experience to work on a project redefining the strategic risk platform for a leading investment bank.Experience: Working knowledge of Risk – multi asset classes Ability to speak with business people (traders) etc and get extract risk requirements Technical understanding of risk system from a viewpoint of aggregation, data models and report generation Ability to take business requirements, and build a solution and data flows for solution Be aware of the issues with dealing with trades, positions, aggregation and moving Read more […]
Quantitative BA – Stress Testing/Market Risk recruitment
On a day-to-day basis, you will be responsible for: – Business Analysis to support the demise of tactical/legacy applications and processes – Implementing methodological improvements in risk factor/scenario generation – Supporting functional enhancements to the Global Scenario Engine (TSE) and the market data sourcing component (Asset Control) – Improving process efficiency and internal control systems – Providing support, communicate effectively and maintain a productive working relationship with own and external teams – Delivering regulatory implementations in line with agreed time frame and Read more […]
Java Swing Developer – Market Risk recruitment
Position Description: AGS on behalf of RBS represents contract and temporary opportunities for RBS MIB (Markets and International Banking). We have an outstanding contract opportunity for a Market Risk Senior Java Developer to make their mark with one of the world’s largest international banking and financial services companies. In the role of a Market Risk Senior Java Developer, you will play an integral role in helping our client deliver market leading services that set it apart from its competitors. Current/Recent experience of Java SWING Dev of Market Risk applications AND sybase is MANDATORY Read more […]
Senior Controller in Wholesale Banking, Financial & Risk Control (FRC), Capital Markets Financial & Risk Control (CMFRC), Market Risk recruitment
Using your drive and analytical skills to ensure prudent risk management in the control and reporting of the market risk for Markets Senior Controller in Wholesale Banking, Financial Risk Control (FRC), Capital Markets Financial Risk Control (CMFRC), Market RiskWe offer an exciting job opportunity in the Market Risk team in any of the Nordic capital cities (Copenhagen, Stockholm, Oslo and Helsinki) You will be part of a team, which is responsible for the daily control and reporting of the market risk for Markets. You take part in the daily control and reporting, and value adding analysis of the Read more […]