VP Enterprise Risk Manager – Denver, CO recruitment

Responsibilities: • Assist in the development of the enterprise-wide risk management process across market, credit, funding, and operational risks, including integration, assessment, and interpretation of results produced by Treasury and Economic Capital groups. • Assure the quality of underlying data and model outputs to ensure that rigorous risk assessments and reporting contribute to both effective loss mitigation and strategic decision making. • Assist in directing the development of risk management approaches and tools. • Develop and produce reporting tools used in measurement Read more […]

July 9, 2011 • Tags: , , , • Posted in: Financial • Comments Off on VP Enterprise Risk Manager – Denver, CO recruitment

Director of Sales – North America recruitment

My client, a leading global provider of enterprise risk solutions, is currently seeking a Director to run their New York Sales team.The ideal candidate will have a solid background in pricing and valuation solutions, credit and market risk solutions and portfolio management solutions.A strong network of contacts throughout North America and Canada in buy and sell side institutions would be highly desired and a proven track record in sales and management (at least 8 years) is a pre-requisite.A background in quantitative mathematics/risk modelling would be a huge advantage. Read more […]

June 30, 2011 • Tags: , • Posted in: Financial • Comments Off on Director of Sales – North America recruitment

Senior Fixed Income Quantitative Developer recruitment

Salary:  $125,000-$150,000 + bonus and benefits Location | New York A new and exciting role working as a FI Quantitative Developer has emerged in New York within a leading financial institution looking to expand their team.  The successful candidate will be given a great deal of responsibility from day one and will be instrumental in trade approval. This is a Senior level role with further opportunities to head their own team in the future. Responsibilities:• Developing and maintaining the analytics library. • Developing and implementing quantitative models to validate different Read more […]

May 13, 2011 • Tags: , • Posted in: Financial • Comments Off on Senior Fixed Income Quantitative Developer recruitment

Project Manager, Vice President recruitment

Regular/Temporary:   Regular Risk Project Management team is part of SSGM Risk Infrastructure, which has overall responsibility for the control, processes, systems, production and the project management related to risk information and systems in support of SSGM Risk Management. Candidate will work with key stakeholders such as risk managers, SSGM Risk Analytics, SSGM Risk IT, non-SSGM part of Enterprise Risk Management, vertical businesses as well as Business IT.Project Manager is responsible for the overall management and execution of market risk and credit risk analytics and infrastructure Read more […]

May 10, 2011 • Tags: , , • Posted in: Financial • Comments Off on Project Manager, Vice President recruitment

Credit Analyst recruitment

Purpose and Responsibilities: –     Manage credit/risk associated with lending, counterparty trading, foreign exchange, derivatives, capital market products and structured finance, monitor performance of risk exposure. –     Analyze and assess all transaction requests efficiently and promptly.  Prepare all credit reports and supporting materials in manner consistent with Bank policies and procedures. Interact with Relationship Managers and marketers to secure appropriate documentation to enable proposed transactions.   –     Assess credit quality of the sector.  Apprise management of significant Read more […]

May 5, 2011 • Tags: , • Posted in: Financial • Comments Off on Credit Analyst recruitment

Market Risk Associate – Portfolio Risk recruitment

Position Category: Risk ManagementPosition Title: Market Risk Associate – Portfolio RiskJob Level: AssociateLocation: USA – NY – New YorkEducation Required: Bachelors DegreePosition Description:Morgan Stanley seeks a professional with previous experience in a multi-disciplined risk management function as an associate or equivalent in the Market Risk Department (MRD). The Market Risk Department (MRD) provides independent market risk oversight across the Firm’s trading activities. Based in New York, this individual will report to the Head of Portfolio Risk. The role involves a diverse range of risk Read more […]

April 25, 2011 • Tags: , , • Posted in: Financial • Comments Off on Market Risk Associate – Portfolio Risk recruitment

DCEM Trade Risk and Portfolio Risk – VP recruitment

Department OverviewBarclays Capital is the investment banking division of Barclays Bank PLC. With a distinctive business model, Barclays Capital provides large corporate, government and institutional clients with a full spectrum of solutions to their strategic advisory, financing and risk management needs. Barclays Capital has offices around the world, employs over 23,000 people and has the global reach, advisory services and distribution power to meet the needs of issuers and investors worldwide. For further information about Barclays Capital, please visit our website www.barclayscapital.com. Read more […]

April 24, 2011 • Tags: , , • Posted in: Financial • Comments Off on DCEM Trade Risk and Portfolio Risk – VP recruitment

Vice President – Credit Capital recruitment

Position Category: Risk ManagementPosition Title: Vice President – Credit CapitalJob Level: Vice PresidentLocation: USA – NY – New YorkEducation Required: Bachelors DegreePosition Description:Morgan Stanley seeks a professional with extensive financial service experience for a role in the Credit Capital and Ratings Analytics Group. The successful candidate will be responsible for various procedural aspects of the Basel II credit capital calculation, and will collaborate closely with a number of Morgan Stanley functions, such as Credit Reporting, Credit Policy, Credit Regulatory Relations and Regulatory Read more […]

April 14, 2011 • Tags: , , • Posted in: Financial • Comments Off on Vice President – Credit Capital recruitment

Credit and Interest Rate Risk Modeling Analyst – Multifamily Portfolio – Public Company – Virginia, USA recruitment

JOB DESCRIPTION Oversee the day-to-day operational execution in support of the development and implementation of economic models for the multifamily portfolio. Manage the design, development and deployment of core credit and interest rate risk models. Review economic analysis of market conditions prepared by staff. Review and may develop analytical methods and models that assess the market, credit and / or operational risks of new and existing multifamily products. Analyze and make recommendations on models used by the business to ensure that risks within the business’ financial models are properly Read more […]

February 21, 2011 • Tags: , , , , , • Posted in: Financial • Comments Off on Credit and Interest Rate Risk Modeling Analyst – Multifamily Portfolio – Public Company – Virginia, USA recruitment

Risk Analytics Manager recruitment

THE COMPANYFannie Mae exists to expand affordable housing and bring global capital to local communities in order to serve the U.S. housing market. Today, our focus is on preventing foreclosures, making mortgages and rental housing as affordable as possible, and supporting the housing recovery. We are rapidly building and realigning our company to better serve the market as we support the Administration’s Homeowner Affordability and Stability Plan.Join our dedicated, diverse, high-performing workforce and put your unique talents to good use as we work with our partners to advance our nation’s housing Read more […]

February 12, 2011 • Tags: , • Posted in: Financial • Comments Off on Risk Analytics Manager recruitment