Quantitative Risk Analyst | PhD or MSC recruitment
A top global investment bank is developing a “centre of risk excellence” in Berlin and requires PhD or MSC level candidates from a mathematical or science related background The role is ideal for any one from a quantitative background looking to work in a Bank where they can develop their career and skill set to work within a leading quantitative risk group. The bank is looking to develop this newly created function in Berlin and is interested in seeing the best academic candidates from across Europe who is interested in moving into finance. The role will involve working with all areas Read more […]
Spezialisten für Liquiditätsrisikomanagement gesucht! recruitment
Folgende Aufgaben warten auf Sie:- Koordination und Disposition der Zahlungsvorgänge – Ermittlung der zukünftigen Zahlungsströme und Aufarbeiten für Handelsentscheidungen – konzeptionell den in Zusammenhang mit den Aktivitäten auftretenden Markt- und Liquiditätsrisiken mitarbeitenIhr Profil:Folgendes Skillset sollten Sie mitbringen:- Abschluss eines wirtschaftswissenschaftlichen, naturwissenschaftlichen oder vergleichbaren Studiums- Alternativ haben Sie eine mehrjährige Berufserfahrung in vergleichbarer Tätigkeit oder in der Aktiv-Passiv-Steuerung eines Kreditinstitutes- Sie verfügen über Read more […]
Operational Risk Partner (m/w) recruitment
Unser weit überdurchschnittliches Wachstum wird auch weiterhin vom Ausbau unserer Positionen in den bestehenden Feldern sowie vom Eintritt in neue Märkte getragen. Damit eröffnen sich unseren Mitarbeitern hervorragende Entwicklungsperspektiven in Hamburg sowie auf internationaler Ebene. Wachsen Sie mit uns!Unterstützen Sie uns in Hamburg im Bereich Consumer Europe, International Consumer Lending als Operational Risk Partner (m/w) Das sind Ihre Aufgaben:Innerhalb des Operational Risk and Control Managements stellen Sie sicher, dass alle materiellen Geschäftsrisiken und Schlüsselkontrollen Read more […]
Kredit Risikocontroller gesucht! recruitment
Folgende Aufgaben warten auf Sie: Methodische Betreuung von internen Rating-Verfahren Pflege und Weiterentwicklung der Systeme und Verfahren für die Ausfallrisikosteuerung Umsetzung und laufende Sicherstellung der bankaufsichtlichen Zulassung des auf internen Ratings basierenden Ansatzes zur Eigenkapitalunterlegung nach Basel II Wahrnehmung von Mandaten in Arbeitskreisen bei den Kooperationspartnern Methodische Mitwirkung bei der Weiterentwicklung der risiko-/ renditeorientierten Steuerung der Bank Weiterentwicklung von der regulatorischen zur ökonomischen AusfallrisikosteuerungDas Read more […]
Top Investment Bank Seeks Junior Credit Analysts – Germany based recruitment
This role itself focuses within Lombard Credit and will be assessing Lombard Loans, and will deal with loan information from all of their offices globally. You will getting huge exposure to the business working with different teams across the America’s, EMEA and ASIA. Although this role is based in Berlin, the business language is English (all rating reports are written in English; team meetings and telephone conferences are held in English), so the ability to speak German is not at all necessary.If you are wanting to work in a global firm in the most expanding group in Europe at the moment Read more […]
Market Risk Engineer – IT recruitment
My client is one of the most prestigious banking organisations in Switzerland. Currently looking to grow their Zurich based team.This is a challenging opportunity join their Market Risk team and play a major part in improving their Risk Infrastructure. You will be closely involved with the Trading operations.The role:Working on the Front Arena trading system, building scripts and extend its functionalities. Improve and optimise the system based on feedback received from Market Risk Controllers and Traders.You should have 2-4 years experience as a Software Engineer, having worked extensively on Read more […]
Investment Global Bank | Credit Risk Retail/Consumer Modelling Manager | German Speaking – Germany recruitment
This already Global Bank is expanding more than any other firm within risk at the moment, and they are hiring greatly in their German offices. You will brought in as a team lead, directing a small group of risk modellers, and with the expansion plans across the next few years, this team will be more than doubling with you at the head. If you have got a strong background in Credit Risk modelling, are fluent in English and German – apply now The Role: Development and Validation Retail PD/LGD/EAD modelsData analysis and scorecard creationEnsure Group’s credit models remain regulatory Read more […]
Market Risk Manager with Quantitative back ground – Bavaria recruitment
My client is a bank with a stable footing in the international market place. With exciting projects and tasks planned for the long term future, we are looking for an experienced market risk quantitative analyst with interest in market risk measurement, management, modeling and analysis. You will work closely with the members of the friendly team and interact with different divisions of the bank. You can expect to develop professionally on an expert level and look forward to further career opportunities. The tasks for the role include: – Market risk modeling, measurement and management- VaR models, Read more […]
Trading Risk Manager / Credit ( Munich ) recruitment
We are looking for a Trading Risk Manager (m/f) focusing on Credit and Credit Derivatives – located in Munich. This role is embedded in the unit “Market Risk/ Trading Risk Management” within the Board Area Chief Risk Officer (CRO). The unit is mandated to conduct judgmental reviews of trading activities and to structure a consistent limit framework.Main task of this role is to analyze portfolio activities in direct interaction with global trading desks. Therefore, demanded are risk and P/L analysis including plausibility checks among the review of risk factors and their appropriateness as well Read more […]
Mitarbeiter (m/w) für die Marktfolge in der Abteilung Marktfolge & Kreditrisikocontrolling recruitment
Die Gesellschaft hat die Aufgabe, Dienstleistungen zur Haushalts- und Kassenfinanzierung des Bundes und seiner Sondervermögen auf den Finanzmärkten zu erbringen. Hierzu zählen die Emission von Bundeswertpapieren, die Kreditaufnahme durch Schuldscheindarlehen, Geld- und Kapitalmarkt¬geschäfte, Verwaltung der Schulden und Finanzierungsinstrumente sowie die Führung des Bundesschuldbuches.Die Unternehmensstrategie ist darauf ausgerichtet, die Finanzierung des Bundeshaushalts zu optimieren und schnell und flexibel auf sich ändernde Marktbedingungen zu reagieren.Wir suchen zum frühestmöglichen Read more […]