Head of Credit – Global Trade Finance & Financial Institutions recruitment
Our client has a senior role within its Transaction Services division, heading up Credit Risk for Global Trade Finance Financial Institutions.This is a high profile role taking full responsibility for leading Risk Management across Global Trade Finance. The role offers delivery across multiple lines of business, and geographies; senior stakeholder management / interaction across all areas of the global business.The candidate will be required to have experience across all these disciplines; Credit / Operational and Regulatory.Expert knowledge of Cash Management Trade Finance required.Competitive Read more […]
Credit Officer – Wealth Management recruitment
Job DescriptionAs Credit Officer, your chief responsibilities are to identify and quantify credit risks, to implement measures aimed at minimising risks as well as to make recommendations and credit decisions. As there is no formal credit committee structure, the ability to make decisions, weighing up both the risks and opportunities involved, is vitally important. Similar, the successful candidate will possess sound communication skills and be able to liaise effectively with the Front Office, implementing credit decisions. You will be required to possess a comprehensive knowledge of the credit Read more […]
AVP Capital and Risk Appetite Strategy recruitment
Job Details: AVP Capital and Risk Appetite StrategySector: Banking, Portfolio Management Department: EPD – Credit Portfolio Management Specialisation: Quantitative/Market based Credit Portfolio Analysis Reporting to: TBA Basic Salary: Up to £80K Bonus Structure: Discretionary/ Competitive Benefits: Comprehensive Location: London, City Our Reference: 918870 Description Your core responsibilities will include: Provide quantitative and market based portfolio analysis strategy Evaluate capital/risk appetite relief opportunities Quantitative portfolio analysis Read more […]
Director- risk manager recruitment
This is a director-level role and the client is looking for an individual who has a thorough understanding of the CDS markets. The ideal candidate’s background is either CDS trading, quantitative analysis, or market risk management. The client is a rapidly growing and well-established clearing house so the successful candidate will be expected to liaise with the most senior risk members of the top Investment Banks. Therefore ability to communicate effectively and comprehensively is essential. A mathematical or core science degree is absolutely essential as well as a thorough understanding of Read more […]
Regional Head of Market Risk recruitment
An excellent opportunity to join a Market Risk Management team of 10, managing and leading the team in a dynamic environment. Working across all asset classes with a bias towards fixed income products. Suitable candidates will have a strong knowledge of Fixed Income products and have proven experience working at VP – Director levels. If you are interested in discussing this position in greater detail, please get in touch with Josh Lawson on 0207 092 3244 / josh.lawson@eamesconsulting.com
Risk Portfolio Manager – Reserves recruitment
Within this role you will focus on consumer and commercial business reserves, risk portfolio analytics as well as supporting the newly formed ERMG. You will manage the reserve change process from a risk perspective, work closely with controllership providing the necessary support, guidance and feedback for reserve model changes and provide the necessary analytical support during the Reserve Adequacy reviews.You must be an experienced risk or finance analyst with reserve management experience, particularly in either the banking or financial institution. You must also have proven experience in the Read more […]
Manager, Wholesale Credit Model Validation recruitment
This role is to ensure that credit models in use are compliant with Basel II rules for A-IRB portfolios and to champion industry best practices. He/she will also represent Risk Analytics in expert panels and advise on risk measurement models methodologies throughout the Group.RESPONSIBILITIES DELIVERABLES:• Group role involving the review of PD, LGD and EAD models / model development across the Group for the wholesale bank• Deliver potential solutions to issues raised during the model review process• Support other areas of Risk Analytics• Develop strong relationships with the businesses Read more […]
Specialist, Credit Risk Hedge Fund Analyst recruitment
Job Title: Credit Analyst – Hedge Funds (Specialist / Analyst Grade) Reporting: Deputy Global Head of Hedge Funds Credit Location: London, U.K. MAIN RESPONSIBILITIES: Background This position is based in London, U.K. and is part of a team of approximately 7 analysts. The analyst will also sit as a member of the Newedge UK Credit Committee. Close communication will be required with all team members, Market Risk team, Global Head of Hedge Fund Credit and respective trading desks. The Group’s global presence gives its customers access to more than 500 financial derivatives contracts (interest Read more […]
Capital Markets Risk Consultant recruitment
They have an extremely strong network and pipeline of business in regulatory driven transformation programmes and projects.Typical engagements include:• E2E market and credit risk process assessment• Architectural design• Market and credit risk performance improvement• Implementation of market and credit risk systems• Regulatory assessmentsYou will need to have:• A good understanding of traded credit and market risk VaR, Counterparty risk model EPE PFE and CVA• Traded product knowledge• Understanding of current regulation impacting Investment Banks• Knowledge of risk Read more […]
Market Risk Limits Manager recruitment
The role directly reports into the Head of Market Risk Governance and requires the incumbent to closely support the Head of Market Risk Policy in duties such as:Overseeing the market risk limits framework, specifically limit authorities, limit setting, breach management, data analysis reporting.Preparing and presenting relevant market risk limits governance metrics to the Market Risk Policy Committee (MRPC).Writing market risk limit policies and procedures.Assisting with the development of the market risk policy framework by writing policy and key operating procedure documents.Submitting requirements Read more […]