Manager / Senior Manager – Quantitative Risk Consulting recruitment

OverviewThe team services prestigious Investment Banks across a variety of risk management disciplines including; Pricing Market Risk Model Validation, Counterparty Exposure Management and CVA Hedging RWA / Portfolio Optimisation. Due to growth, they’re looking for a number of consultants to come in at varying levels to offer excellent quantitative solutions to their prestigious clients.The RoleReviewing and validating counterparty risk exposure methodologies and associated fair value adjustments (CVA / DVA) Performing model validation for valuation models across asset classDeveloping tools Read more […]

June 3, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Manager / Senior Manager – Quantitative Risk Consulting recruitment

Principal Risk Consultant recruitment

Principal Risk Consultant (Algo Risk Service Advisory)Algorithmics, an IBM Company London The Role The key responsibility of the Principal Consultant in the Algo Risk Service Advisory group is to lead the effort to provide senior level functional expertise to new or existing clients using the Algo Risk Service (ARS).  This involves interaction with the sales, pre-sales and project management teams to identify and pursue consulting opportunities with Algo Risk Service clients. Development and presentation of Algo Risk workshops to front and middle office users as well as Read more […]

June 3, 2012 • Tags: , • Posted in: Financial • Comments Off on Principal Risk Consultant recruitment

Credit Risk Modeller – Tier 1 Bank – London – 70k – Exclusive recruitment

I am working excusively with the Credit Risk Analytics of a Tier 1 Bank which has a global remit that is preparing for the next phase of Capital Modelling growth down to Basel III. There are wide ranging roles covering PD/LGD/EAD Modelling, Economic Capital, Stress Testing and Basel III Capital Management across all this bank’s SME Business banking clients globally. They are looking for candidates with a good quantitative background, with exposure in either Corporate or Retail Credit Risk Modelling in a Bank, Building Society, Consulting firm or an international regulator. You will be developing Read more […]

June 3, 2012 • Tags: , , , , , • Posted in: Financial • Comments Off on Credit Risk Modeller – Tier 1 Bank – London – 70k – Exclusive recruitment

Credit Administrator with Japanese recruitment

Your responsibilities will include:• Preparing credit related applications, borrower ratings and other operational applications.• Assist with financial analysis and data control.• Handle customer queries and complaints.• Assist relationship officers in cultivating new business lead and maintaining existing customers.• General administrative duties.The successful candidate will be someone who thrives in a demanding environment, has a flexible attitude and works well under pressure. You will have high attention to details and be IT literate. Due to the nature of the business, Japanese Read more […]

June 2, 2012 • Tags: , • Posted in: Financial • Comments Off on Credit Administrator with Japanese recruitment

Market Risk Manager – Strategic VaR recruitment

The role is for a Market Risk Analyst within the cross-asset class VaR team. You will be able to analyse movements and drivers of VaR, Stressed VaR, IRC down to the business line and product level, and work with the wider business units to drive the market risk strategy internally. They are looking for someone who can look at the bigger picture; you will work with the business to advise them on their day to day portfolio exposure and make recommendations on capital allocations.Responsibilities include:Facing off to key stakeholders (i.e. Treasury, Finance Front Office) to explain at a level suitable Read more […]

June 2, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Manager – Strategic VaR recruitment

Market Risk Administrator / Excel recruitment

Role Details – Working closely with Market Risk managers you need excellent communication skills and flexibility for peaks in workflow A degree in mathematics or a science subject is beneficial Risk management experience from a graduate internship or hands on experience after university in Market risk role Msc in risk management would be advantageous Senior knowledge in – VBA / Pivot tables / V-lookups and Macros required Exposure to Credit products / FX an advantage. Immediate interview available for 6 month contract

June 2, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Administrator / Excel recruitment

Credit Manager, Residential Property (6 month) recruitment

Senior management role within the UK residential mortgage division of this City based bank. Reporting into the divisional MD, the prime purpose of the role is to significantly improve credit analysis and credit proposal processes. Focussed upon NPLs (Non Performing Loans), you will be responsible for assessing risk and managing external advisors to negotiate and implement exit/recovery strategies.The client seeks an experienced individual with deep credit skills gained in the UK residential property market, probably a mortgage underwriter, with the ability to look beyond the superficial Loan Read more […]

June 2, 2012 • Tags: , , • Posted in: Financial • Comments Off on Credit Manager, Residential Property (6 month) recruitment

Interim Risk Analyst recruitment

The successful candidate will be expected to:Conduct analysis on key risk information throughout the business, making recommendations founded on the outcomes.Provision of support to the Risk Reporting Manger in the collation, review and reporting of risk information.Carrying out work in relation to the periodic collation of an ORSA (Own Risk and Solvency Assessment) report. Production of risk reports so that senior management is fully aware of how well the groups’ risks are managed.Communication with the various teams throughout the organisation, who are required to provide information regarding Read more […]

June 1, 2012 • Tags: , • Posted in: Financial • Comments Off on Interim Risk Analyst recruitment

Basel Specialist recruitment

Top Tier Investment Bank is looking for a Basel specialist.The select candidate will be required to forge strong partnerships with multiple functions and business areas across the organisation and to successfully assess, analyse and manage the delivery of regulatory driven change related to Counterparty Credit Risk (CCR). The roles require interpretation regulatory changes impacting on Counterparty Credit Risk (CCR) exposure to OTC derivatives, repo and exchange traded derivatives transactions and translate them into requirements.Contract and permanent positions available. Read more […]

June 1, 2012 • Tags: , • Posted in: Financial • Comments Off on Basel Specialist recruitment

FIs Credit Analyst, Emerging Markets recruitment

This is a front line credit analyst role working closely with the Origination team.Main responsibilities will include:The successful candidate will primarily take responsibility for the bank’s FIs African portfolio.You will also have some coverage of corporate client base.Perform thorough credit analysis, assessment and monitoring of an allocated portfolio of customers.Ensure timely and high quality support of credit assessment requirements related to new customers.Undertake and disseminate accurate research on assigned geographic and industrial sectors.Skills and experience required:Relevant degree Read more […]

May 31, 2012 • Tags: , , • Posted in: Financial • Comments Off on FIs Credit Analyst, Emerging Markets recruitment