Risk Mgmt Reporting Group Mgr recruitment

Reporting directly to the Global Consumer Credit Risk Senior Manager responsible for Global Consumer Risk Reporting and Analysis, this individual will support all of the functions of this group which include oversight of consumer loan loss reserves, consumer loss forecasting for planning and stress testing, Basel governance / deployment, and risk regulatory and financial reporting. Key Roles Responsibilities: -The Risk Management Reporting Senior Group Manager will support the Global Consumer Credit Risk Head in the execution of responsibilities including, but not limited to the risk reporting Read more […]

January 1, 2012 • Tags: , • Posted in: Financial • Comments Off on Risk Mgmt Reporting Group Mgr recruitment

Manager, Investment Risk – Multi Asset Class recruitment

Position Description:The Company Wellington Management Company, LLP is one of America’s oldest investment management firms. The company is headquartered in Boston with ten affiliate offices in the United States and around the world. With approximately $660 billion in assets under management, Wellington Management Company, LLP manages US, international and global equity, fixed income and multi-asset portfolios for institutional clients and mutual fund sponsors in 43 countriesThe Position Manager, Investment Risk – Multi-Asset Class Strategies has been approved as part of the Investments and Risk Read more […]

January 1, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Manager, Investment Risk – Multi Asset Class recruitment

Options Trader to Risk Management recruitment

Background:Experienced risk manager currently working for a clearing firm (multi assets with a major in listed derivative products) or holding a senior trading role in equity or fixed income derivatives. Position:Key Requirements:Risk Management• Overseeing daily portfolio risk reviews and analysis, escalation of margin call and risk decisions/risk identification process. • Ensuring the team is performing appropriate risk reviews with appropriate risk metrics and actions escalated accordingly. • Ensuring appropriate focus on daily risks, market developments and improving procedures.Risk/Margin Read more […]

December 16, 2011 • Tags: , • Posted in: Financial • Comments Off on Options Trader to Risk Management recruitment

Business Analyst- Metals & Mining recruitment

NYC Manager BLMThe Manager, Metals Products role reports into the Director, Metals Products in New York. This is an exciting opportunity to join the Metals team in New York. Responsibilities include providing timely information on the COMEX NYMEX metals products, analyzing on existing and new markets, assisting the regional sales team with metals expertise and working with the development of new products with our Marketing and Research teams. Manager, Metals BLMPrimary Accountabilities• Understand global competitive landscape and execute growth strategy• Understand and assist in development Read more […]

December 15, 2011 • Tags: , • Posted in: Financial • Comments Off on Business Analyst- Metals & Mining recruitment

SVP- Global Investment Bank – Shanghai recruitment

My client is a top tier investment bank in China. They are growing aggressively in China these years. As a result of this growth, they are now hiring into their credit risk team and targeting specifically excellent counterparty risk talent. You would report directly to head of China credit risk, and have great potential to lead a team of credit analysts. This opportunity will appeal to candidates who have 10 years plus experience within an Investment Bank(preferrably with emergent market experience), equip with strong capital market knowledge and broad derivative exposure. You will also have to Read more […]

December 15, 2011 • Tags: , , • Posted in: Financial • Comments Off on SVP- Global Investment Bank – Shanghai recruitment

Market Risk Analyst recruitment

The successful candidate will joining the Corporate Market Risk Group to help with the maintenance and ad – hoc analysis of  time series data to  examine the suitability for risk and FO models. Knowledge of Commodity volatilities / prices, IR curves, FX volatilities is needed as my client needs someone who requires minimal training. Candidates will need strong Excel skills, solid understanding of VaR and any VBA skills are of interest. This represents a fantastic opportunity with one of Europe’s Leading Investment banks. Please apply for more info

December 14, 2011 • Tags: , • Posted in: Financial • Comments Off on Market Risk Analyst recruitment

Director of Counterparty Credit Risk recruitment

Responsibility overseeing all credit risk related activities. Manage and develop the Credit risk team to ensure an effective, timely and value-added service to the business. Contribute to the group-wide credit and market risk methodologies to ensure that it meets accepted industry policies, controls and practices. -Approval authority and general oversight of new counterparty approval requests and ongoing credit limit based on financial statement analysis, internal rating, trading activity and VAR trading limit under the Group Risk Policy. -Monitor business line daily market risk activity including Read more […]

December 11, 2011 • Tags: , • Posted in: Financial • Comments Off on Director of Counterparty Credit Risk recruitment

Sales Manager- Corporate Treasury recruitment

Seeking an exceptional, highly motivated Regional Sales Manager with direct work experience in selling big-ticket technology solutions into Financial Departments of Corporates. Technology Solutions include Market Data, Valuations and Pricing.• Identification, contact, qualification and development of viable new accounts and/or expanding existing accounts within an established and defined territory (US) ;• Manage the development and execution of the prospecting plan for new accounts;Skills Requirements:• 5 – 8 years Sales and Account Management experience• Equity expertise in private Read more […]

December 11, 2011 • Tags: , • Posted in: Financial • Comments Off on Sales Manager- Corporate Treasury recruitment

Junior Model Review Quant (Associate level) recruitment

Job summary: The Model Review Group focuses on monitoring and evaluating quantitative methodologies used throughout the firm. In particular, the group reviews derivative valuation models, analyses complex model risk, and assesses appropriateness of risk measurement and reserve methodologies in major lines of business (equities, FX, commodities, fixed income and credit). The group works closely with other Quantitative Research developers, and with the Market Risk and Valuation Control Groups. Team members have opportunities for exposure to a variety of derivatives business areas and research Read more […]

December 11, 2011 • Tags: , • Posted in: Financial • Comments Off on Junior Model Review Quant (Associate level) recruitment

Financial Stability Market Monitoring Quantitative Analyst – Markets recruitment

The Financial Stability Market Monitoring (FSMM) staff seeks an experienced analyst to facilitate and carry out the quantitative assessment of systemic risk. The candidate will develop quantitative tools that help identify and measure risks in financial markets and institutions that could lead to disruptions in leverage, funding patterns, and asset prices. The analyst’s work will help facilitate the Bank’s analysis of systemic risk issues and help inform the broader policy community in its supervision of large financial institutions. Responsibilities · Conduct detailed and complex analysis Read more […]

December 10, 2011 • Tags: , , • Posted in: Financial • Comments Off on Financial Stability Market Monitoring Quantitative Analyst – Markets recruitment