Market Risk – IT – Contract or Perm recruitment

OverviewNomura is a leading financial services group and the preeminent Asian-based investment bank with worldwide reach. Nomura provides a broad range of innovative solutions tailored to the specific requirements of individual, institutional, corporate and government clients through an international network in over 30 countries. Based in Tokyo and with regional headquarters in Hong Kong, London, and New York, Nomura employs over 27,000 staff worldwide. Nomura’s unique understanding of Asia enables the company to make a difference for clients through three business divisions: retail, asset management, Read more […]

July 7, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Market Risk – IT – Contract or Perm recruitment

Business Analyst – Market Risk – CoRep recruitment

This appointment is for someone to be responsible for Market Risk work on the Common Reporting (COREP) Project which seeks to harmonise European Capital Requirements Directive reporting. In addition the person will also be supporting projects in Fixed Income, Emerging Markets and Foreign Exchange within Market Risk Projects when time permits.Be the primary contact for Market Risk on the bank wide COREP initiative. The individual will be responsible for analysing, documenting and specifying Market Risk requirements for COREP templates as well as putting together test plans and testing any changes Read more […]

July 5, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Business Analyst – Market Risk – CoRep recruitment

Market Risk – Project Manager – VP recruitment

Main Function As a Project Manager for the Market Risk Technology programme in Singapore, the candidate should be capable of managing project deliveries through the entire life-cycle, where the important stakeholders could be regionally dispersed. The candidate would need to collaborate with knowledgeable and demanding stakeholders to establish project plans for major/minor initiatives and drive efforts to a successful conclusion. He/ She would be required to co-ordinate with global development teams where required to ensure that project deliveries are integrated with the various other development Read more […]

July 2, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Market Risk – Project Manager – VP recruitment

Business Analyst, Market Risk, Investment Bank recruitment

My client are one of Europe’s leading investment banks and they are looking for a market risk business analyst to join their team, implementing change within their market risk function.Business Analyst DutiesYou will be heavily involved in the re-engineering and streamlining of the market risk reporting processes across a number of asset classes. The business analyst will be involved in the delivery of new systems and metrics for senior management team. The business analyst will be interacting very closely with the risk managers to understand business requirements on various topics Read more […]

July 2, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Business Analyst, Market Risk, Investment Bank recruitment

Quantitative Analyst (Quant), Market Risk, Credit Risk, CVA (Credit Value Adjustment), Cambridge recruitment

Quantitative Analyst (Quant), Market Risk, Credit Risk, CVA (Credit Value Adjustment), Cambridge A leading financial institution is looking for a highly skilled Quantitative analyst (Quant) with extensive Market Risk, Credit Risk, CVA (Credit Value Adjustment) experience. The successful candidate will be supporting the entire organisation by providing Quantitative expertise in the above areas (Market Risk, Credit Risk and Credit Value Adjustment) Your role is to determine what solutions need to be calculated and how. You will work closely with the development team on a Risk Analytics product. Read more […]

July 2, 2012 • Tags: , , , , , • Posted in: Financial • Comments Off on Quantitative Analyst (Quant), Market Risk, Credit Risk, CVA (Credit Value Adjustment), Cambridge recruitment

Business Analyst – Market Risk – Product Control recruitment

The Business Analyst will liaise with Market Risk Managers so will need a risk management background a Product Control Line background or a solid background in Market Risk Change. Indepth understanding of the following will be required: Overnight Index Swap Risk Sensitivities Stress Testing Knowledge of Market Risk reporting tools would be an advantage. Please contact maria.vavoulas@alexanderash.com for more information. Alexander Ash is acting as an agency for the purpose of this advert.

June 30, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Business Analyst – Market Risk – Product Control recruitment

Market Risk / PnL IT Business Analyst and Project Manager – Assistant Vice President – Global Bank – London recruitment

 The successful candidate will have an influential role in delivering a series of business critical IT projects to clients within Market Risk Management including interaction with Senior Executive level stakeholders. The Business Analyst will have a leading role in analysing, designing and testing business requirements culminating in the successful enhancement of Market Risk platforms. The technical delivery team is based offshore, so experience in dealing with counterparties in different time zones is looked upon keenly by the hiring team. As a Senior member of the team, successful candidates Read more […]

June 26, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk / PnL IT Business Analyst and Project Manager – Assistant Vice President – Global Bank – London recruitment

Market Risk – Credit Derivatives recruitment

Covering the entire product range, the is an urgent requirement for a credit derivative risk manager, this role combines a highly technical market risk role with a hands on business focused element. You will interact daily with the trading desk, senior management and quantitative team to assess, monitor and pre-empt movements within the market. Main duties will include: – VaR calculation, analysis and reporting – Monte Carlo simulation, back and stress testing – Cross over with price testing and valuation teams – Getting involved with projects and reporting to board level Ideal candidates will Read more […]

June 26, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk – Credit Derivatives recruitment

Market Risk – Treasury recruitment

Main Responsibilities:       1. Market risk monitoring and control for a small-medium scale treasury function, mainly in:(1)Establish and keep improving Bank’s market risk management policy,  procedure and strategy;(2)Propose appropriate market risk limits;(3)Identify, measure, monitor, analysis, and report market risk;(4)Treasury product mark to market;(5)Identify and assess market risk of new products and new business;(6)Help select or develop a suitable risk control system.2. Other risk control and management(1)Review and improve business continuity planning;(2)Develop Resolving and Read more […]

June 23, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk – Treasury recruitment

VP/SVP Senior Audit Manager – Market Risk, Wholesale Banking recruitment

Historically covered by Global Banking and Markets this newly created team will now sit within Wholesale Risk and Risk Strategy Audit, and will have a dedicated focus on Market Risk Audit. A global team is being recruited to with three key roles based in London, and counterparts also being sought for Asia and the US. This role covers audit of wholesale banking market risk; market risk modelling, VaR, liquidity risk and ALM. You will supervise operational audits designed to review and appraise systems and controls, including reviewing the efficiency of risk management, operational and financial Read more […]

June 18, 2012 • Tags: , , , , • Posted in: Financial • Comments Off on VP/SVP Senior Audit Manager – Market Risk, Wholesale Banking recruitment