Risk and Compliance Manager recruitment
The role of Risk and Compliance Manager will focus on day to day activity within our client’s UK Transfer Agency service as well as our UK wrap administration business acting as on the ground compliance and risk point of contact in Glasgow.While the remit of the role is wide, below are some of the specific matters that will need to be considered early in the appointment:- Review in detail existing processes to ensure that they comply with regulatory and our client’s standards- Devise training plan for existing and new staff to ensure understanding of compliance implications of their role- Liaise Read more […]
Operational Risk Management Analyst recruitment
Operational Risk Management AnalystAn immediate opportunity has arisen for an experienced Operational Risk Management Analyst to join our client, a major financial services company based in LondonKey responsibilities of the Operational Risk Management Analyst job will include: Design and production of weekly and monthly risk metrics. Tracking remediation of open RMT and Cross Divisional risk items. Assist with the Quarterly Risk and Control Self Assessment (RCSA) Process Assist with the production of the Quarterly Risk Profile Pack. Review and update Operations Risk Framework. Read more […]
Senior Consultant – Retail Banking recruitment
In financial services, our clients include global retail and commercial banks. We work across strategy development, risk management, operations improvement, systems implementation, post-merger integration, offshoring and outsourcing.Senior consultants joined our Financial Services practice this year from the Big 4, and many of them for the same reasons – the chance to work with like-minded people on breakthrough transformational projects, to enhance their expertise and prove themselves in a growing and independent business, and to gain the recognition and rewards that are associated with Read more […]
Covered Bonds Analyst – Southern Europe – global rating agency recruitment
We are looking for a Covered Bonds Analyst for our client; a global rating agency who provide a range of fixed-income products and professional development services to the global financial community. The role is based in the London Docklands.The covered bonds analyst will focus on the preparation and the presentation to internal rating committees of key rationales for rated covered bond programmes issued out of southern european countries. The covered bonds analyst will:-Write credit analysis reports and press releases on rated covered bonds based upon your understanding of the legal framework Read more […]
Quant Analyst Regulatory Capital recruitment
The purpose of this team is to advise senior business members on capital management. This is a very high profile role internally due to the importance of complying with Basel III. The successful candidate will play an important role in directing the banks future business.The Role:This role is highly quantitative requiring a candidate who is comfortable working independently in a high profile position explaining calculations to senior management. Conduct simulation of RWA for future business plans. Developing tools for use in hedging strategies, diversification etc. Advising business on the optimal Read more […]
VP, Credit Officer, Corporates recruitment
The Role:The Corporate Credit team is responsible for effective management of credit and trading risk exposures within EMEA and provides risk assessment, transaction structuring, deal execution and risk profile monitoring for counterparties throughout EMEA. The group works closely with the Investment Banking, Corporate Banking, Global Markets and other product specialists. Responsibilities: Acting as a principal credit officer for a portfolio of Corporate counterparties in EMEA, supported by Associates and AnalystsManaging all aspects of the credit relationship for a portfolio Read more […]
Credit Risk Model Review recruitment
You would join a team that is responsible for the independent review of the Group’s wholesale credit models and methodologies that are used to derive credit grades and the key risk parameters PD (Probability of Default), LGD (Loss Given Default) and EAD (Exposure at Default) which are used to determine the Group’s regulatory capital requirement and calculate the Risk Adjusted Return on Capital (and RAROE). The team supports risk management throughout the Group.Core responsibilities:to undertake in-depth assessments of models used by the Group (or proposed for use);to ensure that the Group’s wholesale Read more […]
Credit Risk Analyst – Vice President / Executive Director – (Based in London, UK) recruitment
Department Description:This group is part of Treasury ServicesRisk Management and is accountable to the Treasury Services Europe, Middle East and AfricaRisk Management Executive for the execution of credit policy and control of credit exposures.The grouptakes responsibility for monitoring and approving intraday credit exposures, covering a wide range of clients including banks, non-bank financial institutions including insurance companies and broker/dealers, corporates, sovereign wealth funds, hedge funds, pension funds and mutual funds.Key Responsibilities:To manage a team of Risk professionals Read more […]
Risk Officer/Analyst – Equities recruitment
Risk management and control are integral parts of UBS’ commitment to providing consistent, high quality returns to our shareholders. The delivery of superior returns depends on achieving the appropriate balance between risk and return.Job DescriptionThere is an opportunity to join the team responsible for Market Risk Control of Equities in EMEA. The team covers all activities of the Equities division (Cash, Derivatives and Complex, Converts and new issuance) and is broadly responsible for closely monitoring the portfolio risk of the Equity businesses to ensure that risk exposures are appropriately Read more […]
Specialist Market Risk Analyst AVP/VP – Executive Analysis Team –Successful Tier 1 European Bank – London recruitment
The team work alongside IT, Front Office, Regulatory Risk and other risk groups in an almost clockwork like fashion to deliver a bespoke strategic output.Key Responsibilities • Analysis of significant risk, PnL and capital moves • Report on these changes and provide a valuable commentary on positional moves • Understanding products and strategies and measures including VaR and stress testing • Build strong relationships with other risk groups and senior management • Maintaining the strong level accuracy and completeness of weekly/monthly risk reports Ideal Skills • Degree Read more […]