, trade alerts, pricing, spreads, and liquidity. Perform risk analysis relating to market exposure, client flow, trading... strategies to optimise risk control and revenue outcomes. Administer and support trading platforms and liquidity bridges...
Risk Officers. This is a chance to deliver complex, high-impact work across credit, market, liquidity, and capital risks... (Basel, IFRS9, BCBS-239), especially for credit, market, liquidity, and capital risks Practical exposure to risk...
Risk Management, Market Risk Manager - Commodities, Associate / Vice President London JR018460 The role will reside... within FRM's Market Risk Department. The Market Risk Management Division (MRD) is responsible for the independent identification...
across diversified sectors, grading and reviewing credit risk exposures. Track financial performance, earnings events, liquidity... countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity...
skills to assess and challenge the existing control framework supporting risk management specific to market and liquidity...Job Category: Auditing Job Description: This is an Associate - Senior Auditor role within the Internal Audit Risk...
Credit Risk Management - Counterparty Credit Risk - Funds, Analyst London JR027436 The role will reside within the... Firm Risk Management's Credit Risk Management area which is a team dedicated to evaluating credit risk transactions...
Risk Analytics - Capital Projections Analytics, Associate London JR027455 The role will reside within Firm Risk... Managements Risk Analytics Department, specifically the Capital Projections Analytics team. The team is responsible for the...
quantitative risk indicators. Build or enhance existing internal capital/liquidity models taking into consideration the new risks... epicenter of this historic cultural and financial shift, keep reading. About the team & role As a Risk Governance Senior...
About the team You'll join a small, London based Financial Risk team that designs, develops and deploys risk models... covering credit, market, capital and liquidity for derivative trading. The group works closely with Model Validation...
technology 🤝. About the Role We are seeking a highly experienced and forward-thinking Global Head of Risk & Trading to lead... our global risk, trading, and quantitative strategy functions Zeal Group. You will oversee a global team responsible for real...
Risk Management, Market Risk Manager - Equities, Vice President London JR026901 The role will reside within Firm... Risk Management's Market Risk Department and will cover the Equities business with a focus on Derivatives and Exotic...
risks including insurance, capital, market, climate, credit and liquidity risk. You'll work closely with senior... a Head of Financial Risk, based in London on a 12 month FTC. Paying up to £143,000 per annum + bonus + benefits This role...
and liquidity risk and regulatory reporting. You may have worked for a banking institution, the PRA or a client facing advisory firm...Prudential Risk Principal Consultant Banking London and other UK locations Solid exposure to ILAAP, ICAAP, capital...
is responsible for credit, market and operational risk, model risk, independent liquidity risk, and insurance throughout the firm...Job Category: Senior Analyst Job Description: CREDIT RISK - Corporate Credit Associate The Risk division...
countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity...Job Category: Asset Servicing Job Description: oin a high-impact team at the center of global markets. Shape risk...
Credit Risk Management – Fixed Income Division Secured Lending – Commercial Real Estate, Vice President London... JR015069 The role will reside within the Firm Risk Management's Credit Risk Management area which is a team dedicated...
expertise in enterprise risk, credit risk, market risk, operational risk, and liquidity risk management frameworks... Risk Service Line- Agentic AI We are seeking an accomplished and entrepreneurial Vice President/Partner to join our Risk...
Business Divisions Investment Bank Your role We're looking for a Risk Manager to: manage counterpart... and liquidity exposures for the EMEA Clearing & FXPB business area, ensuring that clients are maintained within appetite manage...
credit risk (CVA/IMM), credit risk (IRB), market risk (IMA), operational risk, capital and liquidity stress tests. Model...Model Risk Management (IRB), Vice President London JR025999 This role resides within Firm Risk Management's Model...
Job Category: Controller Job Description: The position is in the Counterparty Credit Risk team within the Capital...). As an Associate in the Counterparty Credit Risk team you will have the opportunity to interact with multiple lines of business...