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Senior Associate/Assistant Vice President, Market Risk Management Are you a fluent Japanese speaker with previous experience in Market Risk Management? If so please read on... Our client... experience in Market Risk Management? If so please... for a Market Risk Assistant Vice President... and monitor market risks and funding liquidity risks. Key Responsibilities: * Preparing risk management reports, with supporting... for revaluations and risk modelling * Conducting...
Market Risk Analyst - Leading Financial Services Group A leading specialist financial services group has benefited from a strong performance across the business and is... established Treasury & Risk department. We are... a versatile Market Risk Analyst at Associate/AVP... that interest rate risk, FX and other market risks are identified, measured... maintaining the market risk policies and procedure... the banks market risk (IRR and FX)...
The role is within the Equity SPG Swaps Operations function, specifically the Trade Support team which acts as the first point of contact for the... data within the risk management system, being the... areas, BUC, Credit Risk, Market Risk and IT in... understanding of the risk management system and the... and escalation of risk issues. This will... * Control of risk management via the maintenance...
We are looking for a driven, high-energy and ambitious Swedish speaking individual to join our Swedish Desk. As an FX Business Developer you will be... learn about macroeconomics, foreign exchange and other financial... a career within FX with progression to... company, specialising in foreign exchange transactions and risk management for corporate clients.... exclusive to - FX, giving us the... clients with a FX requirement - Develop...
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... Relevant knowledge of money market products including Repo, FX and IR derivatives and other financial...
Leading Financial Services organization is seeking an experienced Portfolio Manager. The existing portfolio is currently largely comprised of Wholesale middle market customers and is both... Trade Services, and Risk Management. Coordination of the... Pricing, Trade Guarantees, FX/Investment. Monitor and drive portfolio growth by reviewing key financial indicators and trends on a monthly basis. Manage lending enquiries and structuring of complex facilities...
A 6 month temporary assignment has arisen for an experienced Business Analyst to extend the deal coverage of the stressed exposure computation engine to include... exotic derivatives for risk management, capital planning and... * Compute reliable risk measures so that relevant risk management decisions can be... and other exotic FX options that will... testing results to Risk Strategy for capital... across traded credit risk, market risk and...
Calculation, analysis and reporting of VaR (Value at Risk) and market risk sensitivities (delta, gamma, vega, theta etc) for bank-wide trading activities Liaison with Market sensitivities (delta, gamma, ... Liaison with Market Risk Managers, Trading desks, &... & explain material risk moves in daily... reporting of market risk stress tests and... partnership with Market Risk Managers, RAI, and the... provided by dedicated Risk Production and Market...
Job Title: Internal Audit Manager Department: Finance Section: Internal Audit Reports to: Head of Internal Audit Responsible for: None Job Purpose: The internal auditor is... audits within the risk based internal audit... implementation of the risk based internal audit... including audits of risk categories, processes, products, ... fieldwork to identify risks, internal controls and... assurance functions including Risk Management, Compliance, Legal and...
This very well established city based European bank are looking to recruit a degree educated individual who holds a professional qualification in risk or finance coupled... with proven market risk analysis work experience... fully conversant in risk exposure modelling and... that Interest rate risk, FX and other market risks are identified/measured and... bank's interest rate risk policy across the... with the banks risk appetite. Developing interest...
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... 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... These are primarily FX risk, credit risks, liquidity risks and...
UBS Investment Bank is a global investment banking and securities firm, providing securities and other financial products in equities, fixed income, rates, foreign exchange and metals as... alternative asset managers. Risk Operations is responsible... of the process, risk and control framework... In addition, the Risk Operations team has... identify and propose risk mitigation solutions to... monthly portfolio of risk to AMER regional...
A leading investment bank has a new exciting opening as a Market Risk Analyst to undertake a contract role focusing on Commodities and Global Rates.... VaR (Value at Risk) and market risk sensitivities (delta, gamma, ... understanding of market risk, and possess solid... in the Market Risk Operations function responsible... analysis of Market Risk exposures of the... VaR and market risk sensitivities (delta, gamma, ...
Job Title - Market Risk - Japanese Are you a Market Risk professional with advanced Japanese language skills? If so read on.. Our client is... you a Market Risk professional with advanced... Japanese Speaking Market Risk Assistant Vice President... and monitor market risks and funding liquidity risks. Key Responsibilities: * Preparing Market Risk management reports for internal/external... Analysing the Market Risks associated with the...
Our client, a leading trading group, currently seeks a Senior Investment Risk Manager, to be based in London The Senior Investment Risk Manager will be responsible for:... The Senior Investment Risk Manager will be responsible... and administering company risk systems. - Assessing... product and individual risk limits. - Assisting... and developing associated risk measures and carrying out risk analyses. - Investigating... approaches from a risk management perspective. - Contributing...