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Responsibilities:Project Manage the development of new Model methodologies and ensure implementationCollaborate for the validation and stress testing of Portfolios & ModelsAct as point of contact for stakeholders on all Model related mattersCo-ordinate annual reviews and ensure compliance with internal & external requirementsProvide user training and support to ensure models are fully understoodDocument and report to Senior Stakeholders Requirements:Project Management experienceExperience with Rating methodologies & PD, LGD, EADAnalytical and problem solving approachProficient with Excel, SAS & SQLHigh level reportingGravitas with ability to challenge senior stakeholdersManage numerous projects and delivery based upon effective prioritisationThis role requires frequent travel between UK sites If you feel you meet the above requirements or would like to discuss this opportunity further please contact Samaer.
The Role - Responsible for end-to-end analysis of Banks & Sovereigns within a portfolio including; UK, US, Nordic & European counterparties - Provide expert judgement and leadership supporting strategic decision-making at the most senior level. - Subject matter expert, generating research and credit risk analyses encapsulated within counterparty, issuer and country risk reviews - Make recommendations on limits and risk appetite for the Treasury and associated third party portfolios.
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Responsibilities:Project Manage the development of new Model methodologies and ensure implementationCollaborate for the validation and stress testing of Portfolios & ModelsAct as point of contact for stakeholders on all Model.
The Role - Responsible for end-to-end analysis of Banks & Sovereigns within a portfolio including; UK, US, Nordic & European counterparties - Provide expert judgement and leadership supporting strategic decision-making at the most senior level.
They aim to work on tomorrows risk issues which will shape the way the finance industry work. Candidates can expect to be working with experts in risk management; each team has recognized relationship managers, knowledge experts and practice leaders dedicated to a clientele of some of the biggest financial services institutions.
Main responsibilities will include building governance frameworks, developing policies and procedures supporting all senior management across the risk businesses. You will ensure adequate controls are in place across Market and Credit Risk, for instance, understanding the process in place to mitigate against risks including daily VaR limit, and Credit Limits.
Top Tier Investment Bank is looking for a highly skilled Risk Project Manager to work within the core systems team, focussed on improvements to risk calculation and reporting. This involves structuring and driving projects to completion in consultation with project sponsors.
Risk Analyst, Insurance, London A world leading underwriting firm is seeking a talented and ambitious Risk Analyst to support the development and maintenance of an Enterprise Risk Management framework. This is a technical role that has come about by organic growth of this well reputed global insurer.
Working for a Mid-tier global bank, operating across all asset classes, and reporting directly to the Chief Risk Officer. Excellent opportunity, the client is specifically interested in speaking to Market Risk Managers with Strong Fixed Income experience as a Market Risk Manager, and is open to looking at individuals currently at VP level and above.
You will be responsible for governance structure, documentation standards and control environment within Market and Credit Risk. You will re-define governance model and standards, policy and standards tyo ensure the governance model is robust and adaptive to the increased demands for control, etc.
Market Risk Data Manager, Banking I am representing a leading Global Bank who is seeking a Market Risk Data Manager to work within a technical capacity. This is a new role that will give the suitable individual the chance to lead and grow the technology function of Market Risk.
If you work within Market Risk IT, analytics, infrastructure or Reporting with strong IT skills, I would be interested to speak with you about current market opportunities. My contact details are Chris Finn 02070923264 or else chris.
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