The Valuation Review Group provides an independent valuation opinion across the entire spectrum of financial instruments within the firm's sales and trading inventory and proprietary investment portfolio, ranging from vanilla products to the most complex structured and derivative transactions. The team leverages its diverse quantitative skill set and intimate product expertise to act as a guardian and approver of valuation...
My Client is a leading Asset Management house with a mandate to hire a Senior Investment Risk Manager focused on partnering their Hedge Fund business. You will be responsible for risk awareness of all market risk and investment risk issues across all funds and strategies. The Role Working closely with the Front Office on a daily basis providing an in-depth...
A highly prestigious investment bank, who specialises in providing a wide range of structured solutions across all areas of risk management including FX, interest and credit and inflation, requires an Credit Risk Information Analyst. Analyst working in the Risk Information & Reporting team who will have responsibility for credit risk systems implementations and business process re-engineering. They will be focused...
Senior Manager Settlements Division The Settlements Division of a city based Investment Bank are looking to appoint a Settlements Senior Manager to run the Base and Precious metals team responsible for the verification, confirmation & agreeing settlements of Transactions executed by the Metals and Energy Capital (M&EC) Division. M&EC is a group within the Fixed Income Commodities and Currencies Group....
Senior Manager Settlements Division The Settlements Division of a city based Investment Bank are looking to appoint a Settlements Senior Manager to run the Base and Precious metals team responsible for the verification, confirmation & agreeing settlements of Transactions executed by the Metals and Energy Capital (M&EC) Division. M&EC is a group within the Fixed Income Commodities and Currencies Group....
Our client is one of the largest banking and financial services organisations in the world comprising of over 8,000 offices in 86 countries and territories. The require a Risk Analyst to work within their Global Risk Team. The purpose of this role will be to provide support to the Global Risk Team. Working closely with a Risk Manager in analysing...
We are recruiting for an exciting opportunity within a Tier 1 Investment Bank. The role is to work within the Traded Products Exposure Management function as a Business Analyst supporting the implementation of a strategic Issuer and Correlation Risk Monitoring system. The key tasks will include: Writing Business Requirements documentation pertaining to Issuer risk monitoring Working closely with end users...
Our client, a tier 1 investment bank are seeking senior credit risk analysts / manager to join their growing team. The successful applicant will join the capital markets and Risk group focusing on Financial Institutes and non banking institutes (hedge funds, pension funds etc) You will be a subject matter expert in either Fixed Income and credit derivatives with prior...
The team are focused on providing a complete trade support service to the equity derivative trading desks. They adopt a very control focused approach to trade and life cycle management and this role requires someone with a good technical understanding of equity derivatives and trade processes but also someone with excellent interpersonal and relationship building skills. A minimum 2 years...
The Role Develop models and write code within existing systems to facilitate application for client base Develop models that improve client asset allocation, asset-liability management, and risk management, principally focused on the European markets. Troubleshooting assistance and developing and automating reporting to quantitatively focused clients Working with other teams to develop models and frameworks that address client needs Work across...
Derivative Counter party Risk Management is a high profile growth business in the current climate! Supporting a global front office across London, New York and the Far East, you will manage a team of 4 Product Controllers that support this dynamic business. It is a centralised function that looks at the risk of default across all derivative areas. Duties include;...
Our client, a tier 1 investment bank are seeking a Credit Risk Specialist to join their growing team. The successful applicant will join the banks Capital Markets and Risk group focusing on Financial Institutes and non banking institutes (hedge funds, pension funds etc) You will be a subject matter expert in either Fixed Income and credit derivatives with prior experience...
Our client, a tier 1 investment bank are seeking a Credit Risk Manager Specialist to help lead a team of experienced credit risk analysts The successful applicant will join the banks Capital markets team Focusing on Financial Institutes and non banking institutes (NBFI) You will be a subject matter expert in Fixed Income and credit derivatives with prior experience analysing...
RISK BUSINESS ANALYST * Top tier IB * Based in Docklands * Temporary opportunity * £Competitive Role * Working in the traded products exposure management team * Support implementation of Risk monitoring system * Credit issuer risk resolution * Identify exposures across systems * Write business requirement documents * Work with UAT team * Stakeholder engagement Requirements * Degree qualified...
My client a leading Investment Bank is looking for a Market Risk Business Analyst. You will sit within the Equity Market Risk Management department and will be responsible for enhancing the existing Market Risk Management infrastructure to support an expanded set of products and markets in accordance with FSA requirements. Key responsibilities of the role include: - Ability to conduct...
Pricing Analyst Our client is one of the World's largest, integrated energy companies with operations in more than 20 countries, actively involved in the trading of physical gas, power, crude oils and refined products in the UK and Europe as well as a range of paper derivative products such as swaps, futures and options. ROLE OVERVIEW:Part of an international team, ...
The team are responsible for day to day collateral moves and management of counterparty credit risk on behalf of the various OTC derivative business areas. There is significant interaction with front office trading, risk management, finance, legal and various operations groups ensuring all business needs are met and clients portfolios are regularly monitored and all issues and collateral calls are...
My client a Leading Investment Bank is currently running a programme to migrate all OTC derivative products onto a Monte Carlo exposure platform which will improve the accuracy of counterparty exposure risk measurement and, with FSA approval, potentially lead to regulatory capital efficiency. The Exposure and Capital Risk Measurement (ECRM) Programme covers a number of project streams and is the...
This International Investment Bank requires a Business Analyst to deliver an industry-leading Derivatives STP solution for all asset classes. The role is part of a high-profile strategic change programme. They offer the successful candidate the opportunity to develop their own Business Analysis and Project Management skills within a well-funded and highly driven environment. The successful candidate will be capable of...
Market Risk Vice President Our client is looking for a Market Risk Vice President who Analyses portfolio activities and processes with a focus on equity and equity derivatives. Key Responsibilities: * Analysis of portfolio activities in direct interaction with global trading desks. * Risk and P/L analysis including plausibility checks. * Review of risk factors and their appropriateness as well...
A major global bank is recruiting multiple candidates for their Global Markets Audit team. Candidates can come from an audit, product control, accounting, risk management or even front office background. However, it is essential that candidates have strong knowledge of investment banking sales and trading products, e.g. commodities, equities, credit trading, rates, FX, derivatives, market and credit risk. The successful...