(Junior) Practice Specialist – Energy Risk/Commodity Modeling recruitment

We advise decision makers in leading companies, the public sector, non-profit organizations, and innovative, fast-growing start-ups around the globe. In Germany alone, over 1,300 consultants are dedicated to fulfilling our mission: to help clients achieve substantial and lasting improvements in their performance.The Global Risk Practice supports clients in many different industries with developing and implementing tailored concepts for risk recognition, measurement, and control. Our clients include top financial institutions and industrial corporations (in energy and mining, for example). As our Read more […]

August 11, 2012 • Tags: , , • Posted in: Financial • Comments Off on (Junior) Practice Specialist – Energy Risk/Commodity Modeling recruitment

Intermediate Credit Analyst recruitment

Main responsibilitiesBuilding of sector expertise related to the development of allocated industriesProcessing of credit applications which are submitted by the banking group’s global network to the Frankfurt officePreparation of credit applications “ready for decision” – to be decided at the respective level of delegated lending authoritiesRegular updating of the corresponding corporate analysis with well-funded calculations of risk concentrations and proposals of an internal Obligor RatingClose cooperation with the Client Relationship Management and Business LinesEffective and efficient work Read more […]

August 8, 2012 • Tags: , • Posted in: Financial • Comments Off on Intermediate Credit Analyst recruitment

Aktuar (m/w) für den Bereich Risikomanagement recruitment

Ihre Aufgaben:•Mitarbeit am Projekt zur Umsetzung und Weiterntwicklung von Solvency II für das Lebens- und Sachversicherungsgeschäft der Talanx Deutschland AG•Mitwirkung an der Erstellung der Solvenzbilanzen•Durchführung der externen Berichterstattung gemäß der Vorgaben aus Solvency II•Enge Koordination und Zusammenarbeit mit anderen Abteilungen des Solvency II ProjektesIhre Profil:•Erfolgreich abgeschlossenes Studium der Mathematik oder Wirtschaftsmathematik•Abgeschlossene DAV Ausbildung bzw. Bereitschaft zur Ausbildung zum Aktuar•Mehrere Jahre Berufserfahrung in der Lebens- Read more […]

August 4, 2012 • Tags: , , • Posted in: Financial • Comments Off on Aktuar (m/w) für den Bereich Risikomanagement recruitment

VPSA Sub Sovereigns, Frankfurt recruitment

The Department / Team:This is a highly important, visible, market facing and management role; the VPSA will regularly interact with external organizations, such as: banks, capital market groups, research departments, the press, industry trade groups, academia, governments and regulatory agencies, and various investing funds, among others. As such, he or she will need the gravitas, credibility, and communication ability to act as an ambassador of the firm. Sub-Sovereign research services is used by the Company’s clients to help assess credit risk in these markets. Sub-Sovereign research also Read more […]

August 4, 2012 • Tags: , , • Posted in: Financial • Comments Off on VPSA Sub Sovereigns, Frankfurt recruitment

Senior Risiko Manager / Investmentbank / München recruitment

Für unseren Kunden, eine Internationale Bank mit Sitz in München, suchen wir derzeit einen Risikomanager mit vertieften Kenntnissen über Kredit und Marktrisiken. Es handelt sich um eine zentrale Rolle im Risiko Team wo Sie auch viel Kundenkontakt haben. Sie arbeiten themenübergreifend und tragen viel Verantwortung.Ihr Profil•Erfolgreich abgeschlossenes Studium der Betriebswirtschaft oder Wirtschafts- Mathematik/Informatik•Mindestens 5 Jahre Erfahrung im Risikomanagement Bereich•Sehr gute Deutsch- und gute Englischkenntnisse in Wort und SchriftLösungsorientiertes und Analytische Arbeitsweisen Read more […]

August 3, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Senior Risiko Manager / Investmentbank / München recruitment

SVP / Director – Market Risk OTC, F&O Clearing – Frankfurt recruitment

The Role• Analyze new client portfolios and determine margin and limit terms.  • Manage existing clients’ contingent market risk by reviewing daily positions, stresses and sensitivities.• Carrying out analysis of Futures, Options OTC Derivatives of financial products (non commodities)• Approve or reject limits excessions and requests for limits increases. Investigate and resolve client margin disputes.• Engage with and provide feedback to exchanges on new clearing house margin methodologies• Develop and implement new risk measures and margin methodologies for new products.• Proactively Read more […]

August 3, 2012 • Tags: , , , , , • Posted in: Financial • Comments Off on SVP / Director – Market Risk OTC, F&O Clearing – Frankfurt recruitment

VP – Market Risk OTC, F&O Clearing recruitment

The Role• Analyze new client portfolios and determine margin and limit terms.  • Manage existing clients’ contingent market risk by reviewing daily positions, stresses and sensitivities. • Carrying out analysis of Futures, Options OTC Derivatives of financial products (non commodities)• Approve or reject limits excessions and requests for limits increases. Investigate and resolve client margin disputes.• Engage with and provide feedback to exchanges on new clearing house margin methodologies• Develop and implement new risk measures and margin methodologies for new products.• Proactively Read more […]

July 25, 2012 • Tags: , , , • Posted in: Financial • Comments Off on VP – Market Risk OTC, F&O Clearing recruitment

Economist (2012-026-EXT) Risk Management Office recruitment

Together with the central banks of the countries in the euro area, we take decisions that affect the lives of people living in the euro area.We recruit staff of high calibre with integrity, strong team spirit and an intrinsic motivation to work for Europe. We offer a dynamic and multicultural working environment, opportunities for professional and personal development, and an internationally competitive remuneration package. Further information about this position and the required profile is available through the ECB’s application system  Read more […]

July 23, 2012 • Tags: , • Posted in: Financial • Comments Off on Economist (2012-026-EXT) Risk Management Office recruitment

Risiko Analyst für Frankfurt gesucht! recruitment

Für meinen Kunden in Frankfurt suche ich einen Risiko Analysten!Folgende Aufgaben warten auf Sie: – Genehmigen und Beurteilen eingereichter Limitanträge und Überwachung der Positionen des Eigenbestands- Erstellen von Bilanzanalysen- Analyse von Wertpapiere (Bonds) von Banken, Sovereigns und Corporates- Reportings gegenüber dem Management- Exakte Analyse, Bewertung und Reporting im Risk Management – Erstellung von Policies und Projektarbeit Ihr Profil- erfolgreich abgeschlossenes Studium der Wirtschaftswissenschaften und/oder eine Bankausbildung- erste Berufserfahrung in der Kreditanalyse von Read more […]

July 13, 2012 • Tags: , • Posted in: Financial • Comments Off on Risiko Analyst für Frankfurt gesucht! recruitment

Risk manager credit rating methods & models, Niedersachsen recruitment

A global financial services organisation is expanding their operations in the area of quantitative credit rating and risk modeling. This is a wonderful opportunity to work within a scope of varied tasks and at the same time enjoy a very good work – life balance. You will have excellent development perspectives as well, and many opportunities to progress your career within the organisation. Your tasks will include: – Develop credit rating models on local and global level- Improve existing rating models- Carry out Model validation and stress testing- Assess rating systems and suggest improvements- Read more […]

July 10, 2012 • Tags: , , • Posted in: Financial • Comments Off on Risk manager credit rating methods & models, Niedersachsen recruitment