Market Risk – Risks and Controls – London recruitment
This leading banking group covers 3 major business areas: Asset Management, Investment Banking and Corporate Banking. Business has been strong over the last 2 years due to the high talent of front, middle and back office staff- the audit function is reputable within the market due to the detail of the audit methodologies and product exposure. Due to expansion of the business, an exciting requirement has arisen for a Market Risk Principle Auditor, and also an auditor. This role will require candidates who understand market risk controls, understand what the traders are looking for, how the information Read more […]
Product Control (FX Exotics), Heavy Risk Focus, Market Risk/FO Progression recruitment
Despite sitting in the Product Control department, this is not a standard PL production position. In fact, Accounting responsibilities are extremely minimal in what is a highly technical, high profile position within the department. The person in this role will take over one of the exotic business lines covering risk production/Calculations and PL (Explains/Generation). The role will also include heavy exposure to the Trading Desk (at times much of your responsibility will relate to performing the role of a Desk Assistant), Quants and Market Risk. You will be heavily involved in new Trading strategies Read more […]
Business Analyst – Market Risk – Finance Change recruitment
Business Analyst – Market Risk/Finance Business Change – Cross Functional RoleCity, LondonPermanentMy client a tier 1 Investment bank is looking for a Business Analyst to work on a Data Consistency Programme. The programme is under Finance Change Management although is truly a cross functional role. Essential Skills Multi system reconciliation experience Experience of working in Credit Risk or Market Risk change. Market Risk is preferable Excellent communication skills good understanding of derivatives treading, finance, risk and operational environments/architecture Office skills. Desirable skills Read more […]
Market Risk – Risk Advisory recruitment
This leading banking group covers 3 major business areas: Asset Management, Investment Banking and Corporate Banking. Business has been strong over the last 2 years due to the high talent of front, middle and back office staff- the audit function is reputable within the market due to the detail of the audit methodologies and product exposure. Due to expansion of the business, an exciting requirement has arisen for a Market Risk Principle Auditor, and also an auditor. This role will require candidates who understand market risk controls, understand what the traders are looking for, how the information Read more […]
Risks & Controls – Market Risk – £85k recruitment
This large and successful global banking group are currently looking for an experienced Market Risk professional to provide an oversight role on key risks and controls to the Market Risk business unit. This unique role will expose the successful candidate to the Investment Banking arm of the division and will cover products such as Fixed Income, credit products, Commodities, MA and more. This role will suit someone with a strong market risk background, who is looking to develop their modelling and regulations knowledge as this opportunity will see you challenge senior figures within the banking Read more […]
Market Risk / Product Control VP / Manager recruitment
The Company Our client is a global financial institution offering retail banking, direct banking, commercial banking, investment banking, asset management, and insurance services. The Role As a Market Risk / Product Control VP / Manager, you will be responsible for monitoring and analysing company’s PL and market risk exposure on a day-to-day basis for various financial products. It involves PL reporting and the monitoring of trading exposures against the bank’s limits. Main duties would include ensuring timely delivery of accurate daily PL and Risk report, performing PL and Risk attribution analysis Read more […]
Market Risk – Credit Products recruitment
At VP level, responsibilities will include:Working with senior risk managers to develop/enhance risk tools to facilitate the analysis, monitoring and control of market risks for the credit businesses.Ad-hoc market trend and risk analysis. Ability to relate market events to risk positions and analyse risk accordingly. Monitoring of risk positions against market risk limits, (both VaR and non VaR limitsPerform quantitative and qualitative analysis of risk positions of the trading desk.Work with IT and the reporting functions to ensure that risk information and feed data is robust, timely and Read more […]
Market Risk – CVA Analyst recruitment
Market Risk Engineering – CVA Analyst – 6 Months Contract Market Risk Reporting Analyst – CVA6 months contract starting ASAP with good chance of a permanent role.Candidates MUST be in Singapore and be a Singaporean citizen, PR Holder or a PEP Holder. My Client a leading Global Investment Bank is looking for an Analyst to join its growing Market Risk Engineering team here in Singapore. The role requires strong numerical skills along with Strong skills in VBA and preferably a good understanding of Risk and VaR and must have excellent communication skills.Main Function This role is for the Market Read more […]
Senior Java Developer, Core Java, Market Risk, London recruitment
Senior Java Developer, Core Java, Market Risk, LondonA Senior Java Developer is required for one of our top banking clients where the candidate would be leading and mentoring an agile development team within the Market Risk IT platform.The Senior Java Developer would be working on a mixture of Front Office systems across cross assets including Credit, FI, Equities and will be providing risk calculations and risk aggregation to support the reporting and analysis of the risk teams. The Senior Java Developer will be part of technical contribution to market risk IT strategic architecture and design, Read more […]
Risk Management Seoul, Market Risk – Institutional Equity Coverage, Senior Manager / Vice President recruitment
Position Category: Risk ManagementPosition Title: Risk Management Seoul, Market Risk – Institutional Equity Coverage, Senior Manager / Vice PresidentJob Level: Vice PresidentLocation: South Korea – SeoulEducation Required: Refer to Position DescriptionPosition Description:Responsible for Market Risk for the trading business in Seoul, this role will need to work closely with senior trading and business heads to manage the risk exposure and to lead and create relevant policies, processes and projects as the business develops. This role would also be the point-of-contact between the Firm and regulators.Skills Read more […]