Market Risk Manager

We have an opportunity for a suitably high-calibre Market Risk Manager at our client; one of the world’s largest and most prestigious investment banks. The market risk department provides independent market risk oversight across the firm’s trading activities. This encompasses risk monitoring and analysis, as well as reporting, capital calculation and regulatory functions. The position is for a desk-facing market risk manager covering the interest rates business. Responsibilities include: -Daily monitoring of risk, including the use of tools such as VaR and scenario analysis as well as performing Read more […]

October 23, 2011 • Tags: , • Posted in: Financial • Comments Off on Market Risk Manager

EMEA Operational Risk Manager Wanted by Global Bank

The successful candidate will Responsible for developing, implementing and monitoring risk based programs across EMEA to identify, assess and mitigate any operational risk that arises from inadequate or failed internal processes, people, systems or external events, while maintaining a balance between risk mitigation and operational efficiency.ResponsibilitiesThe primary responsibilities of this role are:Act as the EMEA Operational Risk “Champion” through actively engaging stakeholders inside and outside of the EMEA region.Providing Risk Controls Self Assessments (“RCSA”) services to cover all EMEA Read more […]

August 4, 2011 • Tags: , • Posted in: Financial • Comments Off on EMEA Operational Risk Manager Wanted by Global Bank

Credit Risk Manager, Trade Finance

My client, a leading global bank is looking for a deputy credit manager to assist the Head of Risk in their growing team. This is an opportunity to join a fast-growing team and work in a high-profile role for a prestigious bank.The sucessful candidate will be assisting the Head of Risk to control credit risk through constant monitoring of the structured trade and commodity finance portfolio.They will also be expected to liaise with various departments to discuss the risk levels across all bank activities and to manage and train staff where necessary.Our client is looking for candidates with- 5 Read more […]

June 26, 2011 • Tags: , , • Posted in: Financial • Comments Off on Credit Risk Manager, Trade Finance

Market Risk Analyst

A Market Risk Analyst is sought by our client; a global professional services firm focused exclusively on the asset management, investment banking and broking industry. The role is based in the City of London.This market risk consultant role encompasses the development, production and delivery of market risk reports that reflect the risk profile of the fund as well as its compliance with enhanced regulations. The investment risk consultant will be responsible for:-The preparation of regular risk summary reports -Direct communication with clients regarding the reasons for any risk deviations-Monitoring Read more […]

May 12, 2011 • Tags: , • Posted in: Financial • Comments Off on Market Risk Analyst

Incident & Continuity Manager

Job Duties:• Undertake the role of incident continuity manager across the division, globally.• Support COO Business Management, Business Risk Manager by the delivery of incident continuity risk management across the division.• Responsible for creating and maintaining the framework for incident continuity management. • Overview and challenge business areas for compliance with relevant incident management and business continuity policies through implementation of appropriate governance and reporting arrangements.• Drive incident continuity management awareness culture, improving Read more […]

November 10, 2010 • Tags: , • Posted in: Financial • Comments Off on Incident & Continuity Manager

Market Risk Quant Analyst London Investment Bank

Quant Market Risk Analyst – Investment Bank – LondonMy client is a Tier 1 Investment Bank who is looking to further build out their Quantitative Market Risk group in London.The successful candidate will be working as a Quantitative Analyst within Front Office Market Risk, dealing with Risk Methodology and Risk Modelling and Measurements.The successful candidates will need to have excellent mathematics skills (gained from a Masters or PhD level education), broad knowledge of general Market Risk (VaR, Greeks, Risk not in VaR, Options Pricing etc.).Candidates will need to have a minimum of 4 years Read more […]

August 4, 2010 • Tags: , • Posted in: Financial • Comments Off on Market Risk Quant Analyst London Investment Bank

Credit Risk – Senior Manager 80k – South West

My client, a Tier 1 FS Institution is going through huge growth and has one of the largest portfolios if Business Banking and Retail in the South West of England, although this role has a global remit. They are recruiting at Director level for both their Wholesale and Retail Analytics teams in London reporting directly to the Global Head as part of the role. You will need to have an excellent quantitative background and have direct experience of creating, implementing, reviewing and validating PD,LGD and EAD Models across portfolios that are dealing with over £100 billion in assets across a whole Read more […]

June 17, 2010 • Tags: , , , • Posted in: Financial • Comments Off on Credit Risk – Senior Manager 80k – South West

Manager Credit & Counterparty Risk

THE COMPANY: Our client is a well established financial services house with an instantly recogniseable name.  THE RESPONSIBILITIES:Assist with maintaining and developing an effective credit counterparty risk management framework to enable articulation of a meaningful risk appetite and management of risks in accordance therewith,Prepare, process and analyse all daily, weekly, monthly and ad-hoc management reports in a  timely, effective and accurate manner for management review including escalation,Oversee the credit counterparty risk arising in the Treasury unit including positions and unwanted Read more […]

March 8, 2010 • Tags: , • Posted in: Financial • Comments Off on Manager Credit & Counterparty Risk

*** Senior Specialist – Capital Management ***

As a subject matter expert lead, you will be driving the capital projects, demonstrating a solid understanding of the business at portfolio level.With a proven understanding of Basel/US Final or UK BIPRU rules, you will work closely with the credit and capital teams to drive, document and implement business requirements relating to the regulatory rules.The role is analytical in nature requiring ad hoc analysis on a portfolio level to identify risks, and making recommendations to senior management.For further information please do not hesitate to contact Erica Charlton on 0207 092 3239 or at erica.charlton@eamesconsulting.com Read more […]

November 6, 2009 • Tags: , , • Posted in: Financial • Comments Off on *** Senior Specialist – Capital Management ***

Credit Risk Analyst

Job Purpose: The Credit Risk Analyst role sits within the Credit Fraud Risk Management function which, in view of strategic growth plans, is undergoing a period of change. It is a potentially varied role, and one that offers scope for the individual’s personal development. The candidate would be expected to be proactive and, as well as managing day-to-day workloads, have the vision to propose and help implement changes. The role is supportive of the Credit Officers, performing credit conformance checks which translate lending decisions into transactions (customer documentation and onto the bank’s Read more […]

September 29, 2009 • Tags: , • Posted in: Financial • Comments Off on Credit Risk Analyst