Market Risk Change BA recruitment
Market Risk Change Business AnalystThe Company:Our client is a leading and well recognised global investment bank who is currently in need of a counter party credit risk business analyst to work in their City of London office.The Role:This position is for a well experienced Business Analyst – with good experience in Investment Banking especially with strong traded-products knowledge. Strong knowledge of Market Risk methodology namely counterparty VaR to define and document clear business requirements / functional specifications / testing strategies.In addition to the description above the must Read more […]
Loan Origination presales consultant recruitment
The role will involve a mixture of sales, presales, consultancy and strategyYou will be required to work as a subject matter expert in Loan Origination and Lending softwareExperience within Collateral Management / Document Management are expectedYou will be expected to work on a consultative basis for each client in maintaining a relationshipYou will be expected to travel across EMEA Emerging MarketsExperience in working within these regions is preferredExperience of working within a software house is preferred Relocation may be required Read more […]
RISK ASSISTANT recruitment
Reporting to the Risk Manager, the successful candidate will support the risk function, in the Legal Risk Department. In addition, they will also provide support to the Business Continuity Information Security Manager.Core Responsibilities:Information Security Management System (ISMS):Assisting in developing, monitoring, maintaining and continually improving the ISMS.Assisting with the annual internal audit.Providing support with policy drafts and updates.Updating the Information Security site on intranet.Assisting with the facilitation of the Information Security training aids.Business Continuity:Assisting Read more […]
Capital Risk Associate recruitment
Capital Risk AssociateAn immediate opportunity has arisen for an experienced Capital Risk Associate to join our client, a major financial services company based in LondonKey responsibilities of the Capital Risk Associate job will include: -Production of daily/monthly Basel II credit risk capital adequacy calculations -Capital impact analysis -Internal Model Methodology (IMM) waiver application ongoing compliance-Internal Capital Adequacy Assessment Process (ICAAP)/EU Economic Capital processes -Understanding of data/methodology issues-Regulatory data requests-Ad hoc project work, risk reporting Read more […]
Senior Risk Partner recruitment
Senior Business PartnerAn immediate opportunity has arisen for an experienced Senior Business Partner to join our client, a major financial services company based in LondonKey responsibilities of the Senior Business Partner job will include: -Managing assurance activities based on the current and future risk profile of Business Unit/s-Providing IT and Risk management subject matter expertise to ensure effective management of the Business unit/s risk profile.-Building strong relationships within Senior Management across Business Units and Group Operations -Supporting and guiding other members of Read more […]
Treasury Risk Analyst recruitment
A leading Global Investment Bank seeks a Treasury Risk Analyst, 3 month contract to start ASAPTreasury Risk Reporting and Analysis is seeking an individual whose responsibilities will be to focus on Liquidity risk reporting and analysis for Western European bank chain entities and businesses and transfer pricing across Western Europe. The position will work closely with the Corporate Treasury, Treasury Risk Managers, Finance, and OT.Key Responsibilities:Data Integrity * Review the static data within both CALM (Daily Liquidity Processors) and SMART (Month End Financials), to ensure accuracy of counterparty Read more […]
Credit Analyst – Tier 1 Bank – Contract – £500 a day recruitment
My client, a leading FS Institution, is going through huge growth globally across all its respective asset classes. It is a high profile Risk department going through huge demand for analysis at the moment. It is therefore looking for a Credit Analyst with experience of analysis and review of a number of NBFI clients globally on behalf of the bank. This bank is both stable and has one of the most varied derivatives platforms of any bank in the city. There will be the option of lucrative extensions as well as permanent roles for those who excel. It is a role with an immediate start so call me or Read more […]
Credit Risk Manager – Credit products, Mortgages, Loans, Overdraft recruitment
Job Duties: Support a portfolio of £8bn across a number of credit products such as mortgages, loans overdrafts etc Support the development of portfolio strategy origination policy. Represent portfolio management at meetings and committees Determine appropriate risk policies required to support the business strategy review a number of risk indicators between different sectors. Input infrastructure programmes as required Strong technical skills , highly proficent SAS/SQL, Excel skills
VP – Credit Risk Officer recruitment
OverviewThe successful candidate will work within the London Credit team of 3; the candidate will attain a thorough understanding of the futures markets and will consolidate their credit skills through the analysis of a diverse range of corporates, commodities banks and NBFI’s across industries and geographic sectors.The RolePreparation of annual, new business and periodic credit reviews for our clients in the European, Middle east and African regions. – Responsible for approving and monitoring trading limits and credit lines for business areas involved in both exchange traded and OTC futures and Read more […]
Quantitative Analyst for Global Hedge Fund – Located in London recruitment
The successful candidate will therefore gain a massive exposure to both quantitative and funamental trading and portfolio management. Not only this, you will be required to develop industry leading models for their wholesale portfolio.Therefore the ideal candidate will have the following skills and experience:Extensive knowledge of PD/LGD/EAD and economic capital modelsExcellent knowledge of Stress testing techniquesA quantitative background with a Masters or PhD in a scientific subject (eg maths, quant finance etc)A grounding in different IT techniques eg VBA or C++Ability to problem solve and Read more […]