Risk Reporting – Strong Excel recruitment
To apply for this role you must have advanced Excel skills (preferably to VBA level), and have good exposure to risk reporting or product control preferably from within an energy/commodities trading firm or financial services. This role is based West London, is an initial 6 month contract, and is an excellent opportunity to join a new team during a period of change and improvement where initiative is required.
IB – Risk Reporting – Securitized Products – Associate – New York recruitment
J.P. Morgan is a leader in financial services, offering innovative and intelligent solutions to clients in more than 100 countries with one of the most comprehensive global product platforms available. We have been helping our clients to do business and manage their wealth for more than 200 years and we keep their interests foremost in our minds at all times. This combination of product strength, intellectual capital and character sets us apart as an industry leader. J.P. Morgan is part of J.P. Morgan Chase Co. (NYSE: JPM), a global financial services firm with assets of $2.0 trillion.IB Risk Read more […]
Risk Reporting – Analyst/Associate recruitment
Morgan Stanley seeks a risk management professional for a role in the Market Risk Department (MRD). MRD provides independent market risk oversight across the Firm’s trading and investment activity. The individual will report to the EMEA Head of Market Risk Reporting in London. The role involves a diverse range of risk management responsibilities across businesses. To be successful, candidates will need relevant experience, a strong desire to learn, and the ability to work on a small multidisciplinary team. Primary job responsibilities include: • Develop and produce risk reports used Read more […]
Risk Reporting – Backtesting recruitment
This is a VP level role with a high-level of exposure across the business. The intention is to hire the best talent on the market in order to establish the Risk function as the ‘best in class’ across all investment banking institutions.KEY DUTIES: Credit Risk Reporting (CRR), among other things, is responsible for the backtesting reporting and production framework. The main function of this role will be to improve the established sustainable reporting process for Q1 and Q2, and then transition into the strategic Basel III framework. This role will work closely with other members of the team to Read more […]
Portfolio Analyst – Risk Reporting
An exciting opportunity has arisen for a driven and ambitious risk reporting professional to join our Client’s Risk Reporting team as a Portfolio Analyst in their Group Risk Management area.In this role you will be responsible for the consolidation and preparation of credit risk and BASEL II Credit RWA reports. You will also be responsible for the analysis and evaluation of these reports for use both internally and externally as required.You will be working closely with the business, finance, risk management, operations and your counterparts regionally, as such well developed management, negotiation Read more […]