Credit Risk Reporting (Tier One Investment Bank) recruitment

Based within the risk reporting team, supporting a number of Risk Managers, this is a highly commercial opportunity with the genuine chance to help shape the reporting function of a global institution.At an AVP or VP level, the primary function will be to provide a number of strategic credit risk reports for use by the Credit Management team. It is important to note however, that rather than a simple reporting role, this institution are looking for individuals who can interpret data, providing associated commercial analysis and offer risk management opinion to all levels throughout the bank. Beyond Read more […]

January 15, 2012 • Tags: , • Posted in: Financial • Comments Off on Credit Risk Reporting (Tier One Investment Bank) recruitment

NBFI credit analyst (Mutual funds) recruitment

This is a an opportunity to join a small team offering the successful candidate a clear career path and great learning opportunities. The Role:Written analysis of funds, pension funds and fund managers.Assignment of internal ratings and credit limits.Approval of credit reviews and credit limits Negotiation of documentationTrade approvals.Engaging actively with sales staff.The candidate:Experience in a credit risk management role, preferably as a mutual fund analyst.A good working knowledge of European fund regulations.Familiarity with vanilla derivative products, stock borrow / loan, repo / reverse Read more […]

January 15, 2012 • Tags: , • Posted in: Financial • Comments Off on NBFI credit analyst (Mutual funds) recruitment

Credit Risk Senior Manager recruitment

Ernst Young’s Enterprise Risk Services practice delivers sustainable benefits to our clients though tailored services across credit risk, operational risk, liquidity and market risk, insurance risk and risk technology. As a Credit Risk Senior Manager you’ll be engaged in delivering some of the most significant and class-leading internal audit and risk engagements globally, and gain the valuable experience you need to succeed in risk advisory. We are currently looking for talented individuals with Counter Party Credit Risk experience to join the practice.Your responsibilities as a Credit Risk Senior Read more […]

January 15, 2012 • Tags: , • Posted in: Financial • Comments Off on Credit Risk Senior Manager recruitment

**Top Tier Quantitative Counterparty Team – VP*** recruitment

A strong Quant is required to develop exposure models, and build prototypes to evaluate future models. You will also have daily responsibilities responding to queries on exposures and assisting with portfolio exposure analysis. Ideally the person will have experience with credit or interest rate exposure models , a PhD degree or at minimum a Masters in a Quantitative discipline. You must also have proven experience of financial products including derivatives.

January 14, 2012 • Tags: , , • Posted in: Financial • Comments Off on **Top Tier Quantitative Counterparty Team – VP*** recruitment

Counterparty Credit Analyst recruitment

Experienced credit analyst with significant FI (Banks) experience and exposure to NBFI’s sought by leading broking house.The ideal individual will be from a broking background and will demonstrate a strong credit background, together with excellent verbal and written communication skills.  The successful candidate will be a team player with a proactive and flexible approach. This is a highly visible role within a small team.  As such the proven ability to work efficiently and effectively in a deadline-driven environment is essential.  Key responsibility will be the preparation of counterparty Read more […]

January 14, 2012 • Tags: , • Posted in: Financial • Comments Off on Counterparty Credit Analyst recruitment

Internal Audit recruitment

Working within an expanding professional team you will be accountable for risk assessments, the implementation of testing for controls and providing advice on risk related issues to management. Key accountabilities will include: – provide well informed and pragmatic opinions on the exposure to risk.- To formulate and document programmes of work which establish the existence of risk and the effectiveness of controls. – Complete, document and communicate the work performed in making an accurate assessment of the existence of risks/controls effectiveness.  – Undertaking other ad-hoc assurance, investigations Read more […]

January 14, 2012 • Tags: , • Posted in: Financial • Comments Off on Internal Audit recruitment

Analyst, Credit Risk/Structured Finance recruitment

Our client is a leading Global Bank. Unlike other banks they are not suffering with restrictive funding issues or a lack of credit appetite, hence their positive yet measured expansion plans. Their debt lending/syndicated loan business is very much “open for business” and sectors of particular interest include Property, Telecoms, Oil  Gas and Transport. Working within the Front Office team you will be expected to support marketing, credit analysis and complete financial research, negotiate documentation and support financial close. The sucessful junior candidate will be expected to Read more […]

January 14, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Analyst, Credit Risk/Structured Finance recruitment

Research Analyst – Offshore Oil and Gas recruitment

Our client who specialise in the Oil Gas industry currently have a vacancy for a Research Analyst to join their team based in central London. The successful candidate will be joining a team of researchers and analysts who undertake commercially driven consultancy and analytical projects for all aspects of the offshore oil and gas and associated marine industries.The ideal candidate will have a level of experience in the offshore oil and gas sector and will have an understanding of the macroeconomic issues that are integral to the fundamentals in this space. The role:You will be responsible for Read more […]

January 13, 2012 • Tags: , , • Posted in: Financial • Comments Off on Research Analyst – Offshore Oil and Gas recruitment

Quantitative VaR Analyst – IR, FX, Credit and Hybrids recruitment

You will interact frequently with senior members of the team whilst working on improvements for the Risk methodologies of the bank. Duties will include: Analysing existing VaR models and providing group-wide recommendations Working with senior management and trading teams to implement front office risk methods Assisting in the development of other market risk systems Quantitative testing of models Interacting with regulatory departments to ensure adherence Suitable candidates will come from the following backgrounds: Strong knowledge of derivatives, ideally interest rates MSc in a highly quantitative Read more […]

January 13, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Quantitative VaR Analyst – IR, FX, Credit and Hybrids recruitment

Market Risk Fixed Income Analyst recruitment

A key client servicing major institutions and OTC markets has opened up an exciting role as a Market Risk Fixed Income Analyst. You will help manage and run the day-to-day market risk management of bonds and repos. The individual will also be involved in assisting in the enhancement of the existing risk management tools and processes including developing in-house tools. You will need strong analytical skills, a strong understanding of market risk, and possess solid communication skills, good interpersonal skills and be an exceptional team player. Role/Responsibilities – As part of Read more […]

January 13, 2012 • Tags: , • Posted in: Financial • Comments Off on Market Risk Fixed Income Analyst recruitment