Find FX and Money Markets Jobs - Risk Management jobs from top employers and recruitment agencies on CityJobs. Search and apply now.
Sort by:
Synopsis Deutsche Bank is a leading global investment bank with a strong and profitable private client's franchise. A leader in Germany and Europe, the bank... for a Credit Risk Analyst within Infrastructure Risk Management. With more than... 20 countries Credit Risk Management (CRM) is an... Bank's derivative and foreign exchange portfolios and ensuring that global risk and the management reporting systems are... Company strategy / management analysis - Industry/...
The Emerging Markets (EM) Trading Product Controllers take ownership for ensuring the accuracy and completeness of underlying financial information, and its timely delivery to clients.... other departments including risk management, regulatory reporting and senior management. The EM Europe... suite offered, and risk management is performed predominantly... vanilla flow products (FX, bonds, Money Market Loans and Deposits), ... simple product set (FX, NDFs, Money Market Loans...
Operational Risk Manager £18.00 - £20.00 Per Hour City of London This new leading force in global multi-asset brokerage business requires a dedicated Operational Risk Manager. As... a dedicated Operational Risk Manager. As an accomplished Operational Risk Manager you will encompasses... *Assessment of Operational Risks throughout the Firm... basis *Working with management of other departments... and establishing key risk indicators *The Team... of the operational risk management reporting provided to...
Summary: A prestigious Australian investment bank with presence across four continents and 15 countries, is seeking a Senior Front Office Market Risk Manager. This Senior Market Risk Manager's primary responsibilities will... The Senior Market Risk Manager will be required... to understand the risks and to work... will impact the risks held by the... product knowledge (especially FX and FX Options) and also... - Knowledge of foreign exchange and currency option...
A top tier client of mine is seeking an experienced structured products candidate .The role will include the following duties. (MTNs, Equity Linked Structures, Credit... deal diagrams & risk reports for P&L... structured deals in risk management office systems back... Issuers, IPAs, Wealth Management, Bloomberg, Euroclear &... the confirmation * Management & reconciliation of... Breaks between MTN, FX Metals & Global...
Major Global Investment Bank requires a Credit Risk Officer for an ongoing contract role based in Canary Wharf. The role will be based within the... within the Credit Risk Management division that is... Bank's derivative and foreign exchange portfolios - ensuring that global risk and the management reporting systems are... accurate A Credit Risk Analysis background would be suitable. You will also...
Corporate Title: VP Background: The Business This management role is to support the Global Markets GF (Global Finance) FX Business with the primary focus being... GF (Global Finance) FX Business with the... the TM (Transaction Management) control environment. Deutsche... Listed Derivatives, and Foreign Exchange). The Foreign Exchange Business is a... complexity business supporting FX Cash, Options, FX Derivatives, and Listed... Department: TMG (Transaction Management Group) is responsible...
Top tier US investment bank seeks exceptionally technical Quantitative modeler for Front office role in London. The banks exceptional technical analytical platform demands a very... the head of IR/FX quantitative analysis, the... Modelling, price and risk management for Interest Rates, FX, and Hybrids ·... Interest Rate and FX models, in particular multi-factor and stochastic volatility models. Advanced finite difference and spectral...
The role To provide analytical and quantitative support to the Independent Price Verification Team, Design Complex IPV and Valuation Adjustment/Reserving Methodologies for Exotic Interest Rate... Front Office and Risk Management to ensure business... complex IR and FX Derivatives and a... the relationship of risk to P&L This is an excellent opportunity for an individual who enjoys a challenge to of a...
Reporting directly to the Head of Audit, we currently seek a Senior Manager to take over the Market Risk Audit responsibility within the holding company;... these will include: FX, Interest Rates, Commodities, ... and Derivatives; combined Risk Management Functions: Market, Model, ... the results to management in London *... will exceed 10%.Relationship management with the key... for the Market Risk areas * Involvement...
Leading Docklands based Investment Bank is looking for a Client Valuations professional at Associate Director level. The main functions and responsibilities are as follows: - Management of European Client... 12 staff. - Management of the team... equity derivatives, commodities, FX derivatives, credit derivatives, ... responsible for man management of the team... Service and Operations Risk Management to resolve. -... in valuation change management programme, migration of...
This leading Investment Bank is looking for a Credit Analyst to join their Credit Risk department within the Financial Institutions Team. In this role, you... in the credit risk management systems, rating existing... staff and credit risk management in respect of... treasury, OTC cash FX, SWAPS, fixed income... financing and cash management products. A detailed... impact plus inherent risks surrounding the smaller...
This Management role is to support to the Foreign Exchange Business (part of GFFX within Global Markets) and both Sales and Trading. The Bank's Global Foreign Exchange... support to the Foreign Exchange Business (part of... The Bank's Global Foreign Exchange Business is a... The TMG (Transaction Management Group) Group is... - T0 transaction management, and lifecycle management are the key... Credit and Business Management within a highly...
A world leading Investment Bank is looking to recruit a Credit Risk Analyst to act as the first point of contact for traders, salespeople and... where necessary. *Approve risk positions. *Liaise with... to ensure counterparty risk positions are accurately... knowledge (interest rate, fx derivatives, credit derivatives and equity derivatives) *Strong numerical skills. *Excel *VBA *Meet tight deadlines. *Confidence to speak...
Fantastic Operational Risk Manager role at the world's largest voice and electronic interdealer broker The worlds leading voice and electronic interdealer broker with a daily average... requires an Operational Risk Manger to assist... the Group Operational Risk Manager in the development, ... fixed income securities, money market products, foreign exchange, energy, credit, equity... in updating their risk and control self-assessments... ensure all material risks and controls are...