An International Investment Bank based in the City requires a Market Risk Associate to carry out Front Office Risk Management for assigned desks. You will take full responsibility for the daily risk management of a range of products, including Interest Rates, Equities, Credit and Commodities. This will involve understanding positions and the strategies of the desks and individual traders and...
P&L Risk Analyst Trading Floor Front Office Progression A leading Bulge Bracket Investment Bank is currently looking to hire a P&L Risk analyst to sit on the structured products desk across all asset classes. This team has an impressive record of internal movement into the Front Office and this would be expected between 15-18 months The successful candidate must have...
A leading UK investment bank requires an operational risk framework manager within the Credit & Market risk function. Job Duties:- - Ensure appropriate delivery of the Operational Risk framework for the Credit & Market risk functions - Assist and where appropriate deputise for line management regarding all management issues and relevant meeting/business forum attendance in relation to the Credit &...
Working with a well known & respected search & selection consultancy who not only deal with assignments in the UK but also overseas in Dublin, mainland Europe and Asia. Specialising in Financial Services which include Investment Banking, Hedge Funds, Asset Management and Risk & Compliance. Our clients are looking for a Financial Risk Recruitment Consultant, contract & perm with experience...
My Client a leading Investment Banking organisation with an international presence is currently looking to appoint a Operational Risk Manager to work within the Settlements division. You will report into the Head of Operations Risk and play a key role in assisting the London based Settlements teams that deals with the follwoing products: Securites / equities, Energy (Oil&Gas), Metals (gold, silver)...
A challenging and dynamic opportunity has arisen for a Quality and Change Delivery Consultant to join one of the world's largest financial institutions and leading provider of global corporate and investment banking services, including commercial lending, global high-yield debt, global equity and global M&A. The role sits within a high profile global strategic change group which was built to drive...
An excellent high profile role at this Docklands based Investment Bank. The main duties of the role are building a strong governance infrastructure for operations, reviewing errors, identifying root causes and driving improvements. Ideal candidates will be qualified accountants with previous relevant experience from an Investment Bank, with a good overall knowledge of products and operations processes. You will also...
Large Financial Institution London The Credit Team is focused on providing expertise on overall firm credit risk for wholesale, retail and structured finance. The team focus ranges from portfolio quality, credit risk governance and management, decision-making, portfolio management, thematic reviews, structured finance (both vehicles and underlying assets) and stress testing. We work closely with relationship management supervisory teams providing independent...
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 a Senior SOX and Assurance Manager. The aim of the role is to play a lead role in supporting senior management with the programme of work being undertaken across the bank...
Collateral and Valuations Project Manager Our client is looking for a Collateral Management and Valuations project manager whose function is responsible for one of the largest, cutting edge, global programs in the market. Key Responsibilities: * Understand the business issues and challenges of the CMV organisation and industry * Provide CMV the platform to allow them to implement and execute...
My client a leading investment Bank has recently began a 3 year change initiative. One Risk was formally launched in March 2010 at the Risk Conference, a group wide programme focused on supporting a strong risk management culture across the organisation, to be embedded across the customer facing divisions as well as group functions. Data Quality forms one of the...
Our client is a respected investment bank who employs over 3700 people in 15 countries. Our client is particularly strong in fixed income, infrastructure finance, structured products and foreign exchange. They require Market Risk Analyst within Structured Rates to cover a maternity leave. This key Market Risk Analyst within in Structured Rates role will see you: Stress testing and VaR...
Upstream Business Analyst Market Risk. Investment Banking Market Risk My client is an up an coming investment bank that is currently operating one of the largest programs of change in the city. This is a very exciting time for a Market Risk Business Analyst to join the Market Risk Change team. The role involves interaction with Front Office business IT...
Contracts Risk Recruitment Consultant Working with one of the top names in the industry, a global recruitment business specialising in the Finance, IT & Consultancy sectors. Our clients are looking for a Contracts Risk Recruitment Consultant for the contracts side. This is a genuine desk that is warm- immediately picking up roles from global Investment banks- these clients alone giving...
An excellentopportunityto work in theThe Equity Derivatives Trade Support Group at a top Investment Bank. Role/Team Summary: The Equity Derivatives Trade Support Group serves as a control function by ensuring (i) the accuracy of T+0 PnL; and (ii) the flow of clean data to downstream Operations areas. A major component of the role will be to ensure that the trade...
A Credit Hybrids Specialist is currently required for one of the worlds largest, and most prestigious multinational investment banks in the City of London. The credit hybrids transaction management team is responsible for processing large scale market-driven events such as successor events, credit events, compression, and other bulk trade processing for the credit derivatives desk globally. These events are typically...
We are looking for a quantitative analyst to join the Risk Methodology group in London for a large European investment bank. You will need to have specialised in the measurement of market risk. There are two main areas, * Risk Methodology, which is responsible for the development and specification of the quantitative methodologies used for measuring market risk, including Value...
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...
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....
A hugely successful, global Tier 1 Investment Bank is looking for a truly specialised, highly-technical Market Risk professional to undertake a Director-level role working alongside the Capital Markets Internal Audit business. This is a highly influential and key position within the European Capital Markets Internal Audit function. You will provide specialist Market Risk expertise to the business; you will be...
The Asset Servicing Department of a prominent multinational investment bank manages all of the firms global positions through the lifecycle of corporate events. The department is currently going through an exciting period of change and growth with major technology implementation, as well as restructuring the workflow to maximise outsourcing opportunities. As a result they seek a Corporate Actions Analyst for...
The role is to assist the EMEA Currencies and Rates ORM to assess and report internal control risks. The successful applicant will be required to understand control risks and to constructively challenge the status quo. To perform this role successfully, the individual will need to show strong communication skills as building effective relationships with Global Middle Office teams, Global Back-Office...
Senior Auditor Our client is looking for a Senior Auditor to provide reports of our results to Management and to the Company's Audit Committee of the Board of Directors. Key Responsibility * Participate in audit projects. * Responsible for demonstrating professional skepticism while performing major components of audits within WF business activities; * Identifying and developing compensating controls that mitigate...
Senior Risk analyst- Market risk - Var- Credit derivatives- CDO- Equity- Emerging markets- Funds- Convertible Bonds My Clients are a privately owned financial services business founded whose areas of expertise include Asset Management, Corporate Capital, Property and Specialised Finance. The Asset Management division has a diverse offering which serves a wide client base ranging from institutions to private clients. The...
We are currently seeking an Equity Derivatives Middle Office Associate for our client; a leading global financial services firm providing investment banking, securities and investment management services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals. Flow equity derivative operations in Europe provides front to back post-execution support to all equity based derivative....
A world renowned global investment bank is currently seeking a detailed orientated and highly analytical professional to join their dynamic UK Regulatory Reporting team as a Regulatory Business Analyst. This is a rare opportunity to join a highly acclaimed and respected organisation in a long term contract role. You will be involved in a large strategic project and your duties...
Audit Manager- Wholesale / Commercial banking Our client is looking to recruit at Audit Manager (VP) level to oversee and team of 7 is responsible for semi-annual reporting on the standard of Internal Control to the Banking Board and participates in the global planning events. Key Responsibilities * To perform internal audits of business activities in London and to perform...
The role sits within the Global Analytics team, focussing on BAU and run the bank. Candidates should have experience with data analytics, the production of MI, risk calculation and the developing of processes used by the business. The incumbent will look at the KRI process, write specifications and look at the production and analysis of the Operational Risk framework. Candidates...
My client a leading Investment Bank is looking for a Senior Business Architect to join their Risk Change Function. Risk Architecture fulfils four key services: Works with key business stakeholders to define an evolving Risk Business Architecture, covering organisation, people, data, process and systems: Manage a single Risk source of proposed initiatives and areas for investigation : Analysis and shaping...
Consultancy who have operations based in London and Continental Europe are currently seeking multiple Regulatory Risk, Market Risk , Credit Risk , Treasury/Liquidity Risk & Insurance Risk project Consultants within their London office. As a Management Consultant, you will be working with clients within Investment Banking and Financial Services to provide Risk Management services. Successful candidates will have proven Management...