Find Risk Management jobs in City of London within the Derivatives Jobs industry. Search and apply today.
Alternatively, register with CityJobs, upload your CV and let Derivatives Jobs recruiters in City of London find you. Once registered, we can send you an email job alert each time a new Risk Management job becomes available.
Sort by:
Key Responsibilities: The role is centered on: Independent Price Verification (IPV), model calibration analysis and valuation adjustments of financial instruments, ensuring books and records are... rate and credit derivatives. Development of price... Office (FO) and Risk in the discussion... with FO and Risk. As part of... the next level. RISK MANAGEMENT Extend awareness of risks associated with the... supported and incorporate risk planning and mitigation...
Candidates need a minumum of 5 years relevant experience and have the initiative and self confidence to play an important role within the business Responsibilities Risk and portfolio construction... (covering equities, bonds, derivatives and multi-asset funds).... and understanding of risk models , currently... software as primary risk models. Provide analysis... at the Investment Risk Group, a monthly... appropriate amount of risk, that this risk...
My client is one of the World largest producers of fossil fuels. Within their Marketing and Trading arm, they are looking for a global head of Quantitative Risk & modelling. This... Office valuation and risk models, building, maintaining... for valuation, market risk, credit risk and portfolio analysis... thought leadership on risk / valuation /portfolio... relevant clients within Risk, Finance and Front...
You will work with the team to manage the Exotic Equity Derivatives Business, taking responsibility for analysing and reconciling the desk P&L on a daily... successfully with the Risk Management, Operations, Legal departments... Bank whose Equity Derivatives desk has an excellent reputation within the market.
You will take responsibility for analysing and reconciling the desks P&L on a daily basis and ensuring independent verification of pricing levels and taking full... exposure to the Risk Management, Operations, Legal departments and Senior Traders in Front Office, working to resolve any issues or discrepancies with the P&L. Furthermore, you will maintain and develop best practice controls around the P&L...
Treasury Assistant (Liquidity, Asset and Liability) A leading Investment bank is looking for a Treasury Assistant (Liquidity, Asset and Liability) who is accurate and reliable... Mitigate funding liquidity risk * Enhance and... develop Funding Liquidity Risk Management and Management Information... to interest rate risk management Qualifications * Related... FX and IR derivatives and other financial instruments * Advanced Excel, Visual Basic knowledge, ...
We are looking for an experienced Risk Manager to work for a global Financial Derivatives business. The Risk manager will be responsible for the firm's corporate financial... a global Financial Derivatives business. The Risk manager will be responsible... firm's corporate financial risks in terms of risk identification, measurement, mitigation... that regulatory and risk policies are adhered... are primarily FX risk, credit risks, liquidity...
Quantitative Risk and Valuations Analyst A Top Tier investment bank has opened up an exciting summer internship opportunity within their Quantitative Risk and Valuations group... within their Quantitative Risk and Valuations group... in the Quantitative Risk and Valuations space.... Development. - Quantitative Risk and Valuations group... Control and Market Risk. - The Group... Product Control, Market Risk Management and undertakes work...
Assistant Risk Manager required Responsibilities: -Assist the Risk Manager in the daily allocation of tasks within the risk team; - Keep the Risk Manager advised of any risks the Risk Manager in the daily... tasks within the risk team; - Keep the Risk Manager advised of any risks or issues that... - Support the Risk Manager in monitoring the... knowledge of exchange-traded derivatives; - Detailed knowledge...
My client, one of the worlds biggest independent upstream energy company is looking for a Quantitative Analyst to joint their Risk Management group.You will be assisting... for contract valuation, derivative pricing and price/volatility... Indexed contracts. * Risk management pricing models/tools including... too verify the risk and results of... of the potential risk elements when entering... In-depth knowledge of commodities/derivatives trading instruments (futures, ...
Incremental Risk Charge Modeller An immediate opportunity has arisen for an experienced Incremental Risk Charge Modeller to join our client, a major financial services company... an experienced Incremental Risk Charge Modeller to... of the Incremental Risk Charge Modeller job... The ideal Incremental Risk Charge Modeller will... in particular, in Risk modelling and the... model or Credit Derivatives Modeling - Experience...
A new role has opened in one of the worlds leading investment banks as a Valuation Analyst as part of the Valuation Risk Group. You will... work in Valuation Risk Group is important.... of the Valuation Risk Group. Valuation Risk Group is a... work in Valuation Risk Group is important.... with Senior Management, Risk Management and Model Development... to highlight valuation risks inherent in current...
An exciting opportunity has come up in a global asset management company. My client is looking for a project manager to work within the Investment... managing the Investment Risk project. The purpose... solutions for OTC derivatives and Investment Key... implementing an Investment Risk solution and have... especially within Investment Risk and the Front Office. Previous experience of managing large, global, ...
Key responsibilities The individual will primarily be involved in working on issues relating to Credit & Emerging Markets and Equities Major Responsibilities include: Consideration of... with Senior Management, Risk Management and Model Development... to highlight valuation risks inherent in current... Good understanding of derivatives, including knowledge of more complex and exotic products. Good understanding of pricing methodologies. : Strong analytical and...