Risk Manager Jobs in London

1 to 25 of 50 Risk Manager Jobs in London

Product Risk Manager , Investment Compliance , Private Bank

City of London, London, United Kingdom
JJ Search Ltd
OurClient Our client is an established Private Bank that operates on a global level. The Role The Product Risk Manager will work closely with the Front Office Portfolio Management team acting as part of the First Line of Defence, ensuring appropriate Investment and Regulatory compliance across Investment Products … and Portfolios, andconstructing and maintaining relationships with important stakeholders to achieve this. The Product Risk Manager will require Wealth Management or Private Banking product knowledge and will confidently be able to provideconstructive challenge to the business, governance committees, and second line of defence. The Product Risk Manager … responsible for investigating and establishing key issues and causes in respect of the design and process of the UK Investment product offering. The Product Risk Manager will commit and prepare analysis on areas of financial regulations when required by the business and will apply their own compliance regulatory more »
Employment Type: Permanent
Salary: £70,000
Posted:

Product Risk Manager , Investment Compliance , First Line of Defence , Private Bank

London Area, United Kingdom
JJ SEARCH LIMITED
Our Client Our client is an established Private Bank that operates on a global level. The Role The Product Risk Manager will work closely with the Front Office Portfolio Management team acting as part of the First Line of Defence, ensuring appropriate Investment and Regulatory compliance across Investment … Products and Portfolios, and constructing and maintaining relationships with important stakeholders to achieve this. The Product Risk Manager will require Wealth Management or Private Banking product knowledge and will confidently be able to provide constructive challenge to the business, governance committees, and second line of defence. The Product … Risk Manager is responsible for investigating and establishing key issues and causes in respect of the design and process of the UK Investment product offering. The Product Risk Manager will commit and prepare analysis on areas of financial regulations when required by the business and will more »
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Market Risk Manager

City Of London, England, United Kingdom
Quant Capital
Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant Market Risk Manager to join our high profile client. Our client is a well-known major global exchange. We are looking for a Risk Manager to shape risk management practice at one of the largest futures and options clearing houses in the world. This sits within the Commodities Risk Team. You will be joining a very dynamic team, be exposed to a wide range of asset classes and be challenged … with complex risk problems. You will be responsible for managing all aspects of the day-to-day risk management and drive improvement and enhancements, including identifying, developing and overseeing the implementation of new risk management tools and techniques to enhance the risk management process and risk more »
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Credit Risk Manager

London
Huxley
Credit Risk Manager cards payments This is a new and exclusive opportunity for a Credit Risk Manager to take the lead on the development, implementation and ongoing monitoring of credit risk strategies for Credit Cards This is a really interesting role with a lot of … opportunity from day one Role details Title- Credit Risk Manager Business area: Credit Risk, cards, payments Location- flexible on location- office locations include London, Bradford, Chatham. We look for 1, 2 or 3 days in the office and otherwise flexible on your working arrangements Salary … dependant on experience and location You and Your Team: As a Credit Risk Manager you will be responsible for the development, implementation and ongoing monitoring of credit risk strategies for Credit Cards - covering acquisitions and existing customer management - through providing clear recommendations on how best to drive more »
Employment Type: Permanent
Salary: £50,000 - £85,000
Posted:

Investment Risk Manager, Infrastructure Equity

London Area, United Kingdom
Hybrid / WFH Options
DWS Group
Employer: DWS Group Title: Investment Risk Manager, Infrastructure Equity Location: London or Frankfurt About DWS: Today, markets face a whole new set of pressures – but also a whole lot of opportunity too. Opportunity to innovate differently. Opportunity to invest responsibly. And opportunity to make change. Join us at … your chance to achieve your goals and lead an extraordinary career. This is your chance to invest in your future. Team/division overview: Risk is the independent risk oversight function of DWS, working closely with Portfolio Management, Trading and other support and control functions. The Chief Risk … is an independent function responsible for protecting the business as well as being a trusted advisor and partner for supporting sustainable growth. The Investment Risk as part of CRO has team members in Frankfurt, Berlin, Luxembourg, New York, Zurich and Hong Kong. As a Senior Risk Manager more »
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Market & Liquidity Risk Manager

London Area, United Kingdom
The Curve Group
About the job Market & Liquidity Risk Manager London Hybrid Founded in 2007 our client is one of the fastest growing banks of their kind in the UK. They offer personal and corporate savings products and finance for UK residential and commercial property, in addition to sourcing and advising … on UK real estate investments. Due to growth within the business, they are now looking to acquire the services of a Market & Liquidity Risk Manager to their expanding team. The Market & Liquidity Risk Manager will lead and manage the market risk function by developing appropriate … market risk monitoring parameters, daily monitoring of such parameters and escalation of risks and provide risk mitigation solutions to the Assets and Liability Committee. This is primarily a 2nd LoD role. This is a broad and varied role, working across Treasury and markets. Identification and analysing, reporting of more »
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Market Risk Manager

London
Nexus Jobs Limited
Job Description Market Risk Manager Our Client is an established Bank - who are looking to recruit a Market Risk Manager with at least 5 to 10 years proven expertise. Key member of Bank's Risk team providing support to the Chief Risk Officer with … responsibility for ensuring that Market Risk is appropriate and complied with. Ensures that Market Risk tools in the Bank are fit-for-purpose and provides expert input on all Market Risk issues to the CRO and other stakeholders. Responsibilities Assist in the design of the processes necessary … to allow those responsible for primary risk monitoring and management (Line 1) to calculate key performance indicators (KPIs) in accordance with the risk appetite and risk policies approved by the Board of. This will include: Reviewing or defining the methodologies to be followed in calculating KPIs, Reviewing more »
Employment Type: Permanent
Salary: £85,000 - £100,000
Posted:

Credit Risk Manager, Vice President

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Risk Management Department at Mizuho International is responsible for delivering an independent assessment of the risks taken across all the trading and origination activities of … the Company, and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the Company's risk appetite and capacity of resources, in agreement with the Company's Board and Mizuho Securities. The department is led by the … Chief Risk Officer and is made up of the following teams: Market Risk Management Credit Risk Management Operational Risk Management Regulatory & Liquidity Risk Management Model Risk Management Risk Analytics Risk Reporting What will you be doing? • Primary credit risk management responsibilities more »
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Liquidity Risk Manager

Greater London, England, United Kingdom
CMC Markets
We are looking to high an experienced Liquidity Risk Manager. Within this role you will be responsible assisting with the implementation of an effective Liquidity Risk framework. As the Liquidity Risk Manager, you will assist in ensuring that mandated aspects of liquidity risk are correctly … captured, reported and scrutinised in a timely and efficient manner, which is in line with a market leading second line of defence risk liquidity function. ***This role is based onsite at our Liverpool Street office 5 days per week*** Key Responsibilities: Assist the Liquidity Risk function in supporting … the business by providing risk oversight for its current and future initiatives. The Liquidity Risk Manager will take ownership of the liquidity risk elements as part of any projects, ensuring timely delivery in line with requirements. Continue to develop the Liquidity Risk processes, procedures, standards more »
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Change Risk Manager

City of London, London, United Kingdom
Hybrid / WFH Options
McCabe & Barton
Change Operational Risk Manager Location: (Hybrid Working Model: 3 days per week in office) Reference: JSRISK Change Operational Risk Consultant We are seeking an experienced Change Operational Risk Manager to join our dynamic team. In this role, you will play a crucial part in developing … maintaining, and overseeing the Enterprise and Operational Risk Management Frameworks, ensuring operational resilience and Change Risk Management across the organization. Key Responsibilities: Support the development, embedding, and maintenance of the Enterprise and Operational Risk Management Framework, aligning with industry best practices. Integrating and delivering Risk Management … into the change life cycle. Facilitate the delivery of the Enterprise and Operational Risk Frameworks, supporting processes, and operational resilience elements. Provide guidance and support on risk management processes, promoting risk awareness and a culture of active risk and issue management. Collaborate with cross-functional teams more »
Employment Type: Contract, Work From Home
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Risk & Performance Manager

London, England, United Kingdom
Steve Ball Recruitment LTD
RISK AND PERFORMANCE MANAGER POSITION : Risk and Performance Manager LOCATION : Commutable from Birmingham, Kidderminster, Coventry , Worcester, Leicester, Stratford, Stafford, Telford SALARY AND BENEFITS : £43,080 , excellent pension (13% employer/5% employee) generous holidays THE ROLE : This is an exciting opportunity to join our Public Sector … client in a newly created role for a Risk and Performance Manager in relation to the management and assurance of Hard FM services across a large and varied estate. This is a hybrid role that will involve working in the office 3 days. Candidates also need to be … aware that there will be occasional travel with a small number of nights away being likely each month. YOU WILL BE RESPONSIBLE FOR : The Risk and Performance Manager will work with the Estates Teams and industry partners to identify service delivery risks, and to implement and coordinate assurance more »
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Global Markets, Risk Advisory Manager

Greater London, England, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest—and growing—banks in the world. What is the opportunity? The Risk Management Department at Mizuho EMEA is responsible for delivering an independent assessment of the risks taken across all the business activities of Mizuho EMEA … and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the risk appetite and capacity of resources, in agreement with the EMEA CIB strategy and senior stakeholders of Mizuho Group. The department is led by the Chief … Risk Officer and is made up of the following teams: · Credit Risk Management · Credit Portfolio Risk management · Market Risk Management & Risk Advisory · Regulatory & Liquidity Risk Management · Model Risk Management & Risk Analytics · Operational Risk Management · Risk Reporting & Risk System Engineering more »
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Enterprise Risk Manager - First line risk - General Insurance

Greater London, England, United Kingdom
Broadgate
Enterprise Risk Manager - London, Ipswich, Southampton, Manchester - - £55,000-£65,000 Broadgate Search has been appointed to look for an Enterprise Risk Manager for a general insurer to help form a key figure within their risk function. The role will require you to manage first … line risk activity, and drive the team to embed a strong culture across the first line Responsibilities include but are not limited to: To design and implement new Enterprise risk framework, and work with the first line to embed these controls To provide advice and oversight on the … business’s strategic and ongoing approach to the identification, quantification, monitoring and management of risk Working closely with the business to Upskill the team to continually improve their knowledge and approach to risk management, including regulatory risk, and the outcomes achieved. To be responsible for risk more »
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Operational Risk Manager - AVP/VP - Capital Markets

London Area, United Kingdom
RAW Search
Join this fantastic team as an Operational Risk Manager and play a crucial role in enhancing my clients risk management practices. As a key member of the risk management team, you will be responsible for overseeing operational risk activities and ensuring compliance with regulatory standards. … Key Responsibilities: Support the Head of Enterprise Risk Management in performing oversight and challenge on enterprise risk activities. Act as the relationship manager for Operational Risk, providing guidance and support to stakeholders in embedding the operational risk framework. Ensure consistent risk management practices across … the organization by providing guidance and support for the effective operation of the operational risk framework. Oversee the operational risk lifecycle activities, including risk identification, assessment, reporting, and monitoring. Collaborate with stakeholders across the organization to provide support and constructive challenge on operational risk and control more »
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Change Risk Assurance Manager

London Area, United Kingdom
Hybrid / WFH Options
McCabe & Barton
Change Risk Assurance Manager Location: (Hybrid Working Model: 3 days per week in office) Reference: JSRISK Change Risk Assurance Manager We are seeking an experienced Change Risk Assurance Manager to join our dynamic team. In this role, you will play a crucial part in … developing, maintaining, and overseeing the Change Risk Management Frameworks, ensuring operational resilience and Change Risk Management across the organization. Key Responsibilities: Responsible for Assuring in flight projects to mitigate potential risks. Integrating and delivering Risk Management into the change life cycle. Facilitate the delivery of the Enterprise … Risk Frameworks, supporting processes, and operational resilience elements. Provide guidance and support on risk management processes, promoting risk awareness and a culture of active risk and issue management. Collaborate with cross-functional teams to identify, assess, report, and manage business, enterprise, and operational risks, controls, incidents more »
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Risk Manager – Emerging Risk & Capital Team

London, England, United Kingdom
Workday
Risk Manager – Emerging Risk & Capital Team – 12 Month Fixed Term Contract This is a great job for someone who has knowledge of the asset management industry and the risks associated with this. A bit about the job: As part of this role, you will work within the … Emerging Risk and Capital team to develop, maintain and embed the Emerging Risk, Capital (ICARA), Stress Testing, Reverse Stress Testing and Wind Down frameworks across the business. As part of the role, the manager will support the team in quantifying Aviva Investors’ operational risk capital requirements … through the use of a statistical model. They will also help coordinate the wider ICARA and emerging risk framework activities through: Supporting the team in co-ordinating the development, monitoring and maintenance of all ICARA activities across the business. Provide subject matter expertise on emerging risk and capital more »
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Fixed Income Risk Manager

London Area, United Kingdom
Selby Jennings
I am currently working with a Global, Multi-strat and manager hedge fund in London looking to onboard a a Senior Risk Manager for the Fixed income business. This individual will have a strong investment risk or market risk background overlooking investment or hedge fund … trading strategies. Responsibilities: Managing the day-to-day operations across the risk function incl. Validating margin methodologies, limits setting, Reports/investor reports and analysis of fund performance. Work closely with the portfolio management team, quant researchers, and senior risk managers to add necessary insights to the portfolio … construction and asset allocation process Provide insight regarding drivers of risk movements to senior management and portfolio managers. Work directly with portfolio managers, help understand how they view risk, the strategies and how best to risk manage the portfolios. Work strategically to further develop the risk more »
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Senior Operational and Prudential Risk Manager

City Of London, England, United Kingdom
Hybrid / WFH Options
Hays
A leading international bank is looking for a Senior Risk Manager to join its UK operations initially on a 6-month full-time contract, with a view to going permanent. This is a key role leading the enhancement of the bank's overall Operational Risk Management Framework … as well as providing oversight on Prudential Risk matters. The successful candidate will report directly to the Deputy Chief Risk Officer. Responsibilities: Update the Operational Risk Management Policy and the Risk Registers Report on Operational risk incidents and related MI Support the Deputy CRO in … preparing prudential risk, including Pillar III, ICAAP and ILAAP Prepare regulatory reports for the PRA and the parent bank, in addition to oversight on capital and liquidity returns Convene the Risk Management Committee of the Retail arm of the bank Prepare and review the Risk Management Pack more »
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Third Party Risk Manager

London Area, United Kingdom
Paritas Recruitment
Third Party Risk Manager A global commodity trading firm in London is recruiting for Third Party Risk Manager to join their ranks and lead on the remediation activity relating to Procurement and Supplier management, as part of the firms Global Strategic Operational Resilience Road Map. You more »
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Credit Risk Manager

London Area, United Kingdom
Hybrid / WFH Options
Quant Capital
Credit Scorecard Manager £120,000 Plus 10% Bonus Remote Working 2 days per month in the office Quant Capital is urgently looking for a Credit Risk Manager to join our high profile client. My Client is a well known global (yet not too corporate) financial software (fintech … and take on a challenging role which will give you excellent exposure and experience in the credit modelling space. Day to Day the Credit Risk Manager will: Build out a new set of credit models Work across the current range of credit models within the business Develop challenger more »
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Credit and Risk Manager

London
Nexus Jobs Limited
Job Description Credit and Risk Manager - City London Our Client is seeking to recruit a Credit Manager with at least 5 to 7 years experience in Credit and Risk Management. Proactively advising and consulting business departments regarding risk management issues such as credit, market, country … and investment risk and negotiating with the insurer, lawyers and insolvency administrators regarding bad debt. Assess and analyse credit risk issues from business departments in the EMEA region Make quantitative and qualitative analysis of each customer and to provide necessary advices to business staff and make recommendations to … senior management for establishing of credit lines as well as for making decision for investment. Meet customers and risk investigation agencies and collect risk related information. Monitor overdue & over-credit situation of each customer and try to find its reason and help to avoid such situation. Create and more »
Employment Type: Permanent
Salary: £50,000 - £55,000
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Risk & Compliance Manager - Marketing

City of London, London, United Kingdom
Claremont Consulting
Risk & Compliance Manager - Marketing A leading tech company are looking for a Risk & Compliance Manager for the Marketing and Revenue & Trading teams with a key focus of supporting the business on regulatory and risk matters, in order to effectively manage the risk and compliance … environment with a commercial lens. This role will be supporting the risk & compliance on marketing special offers to customers etc. Responsibilities: Closely support first line colleagues in Marketing and Revenue to working with the business to ensure current and emerging risks are effectively managed. Support the Senior Manager horizon scanning of new and emerging risks whilst implementing effective methods and techniques to manage risk across the board. Ownership of the preparation and delivery of the monthly FLOD packs/process to a high standard. Provide expert advice and approvals for all marketing activity (both financial and more »
Employment Type: Permanent
Salary: £55,000
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Prudential and Operational Risk Manager (FTC - Perm) - 18895

London Area, United Kingdom
Saxton Leigh
THE COMPANY: Our client is an international bank based in the City. They are looking to hire a Senior Prudential and Operational Risk Manager on an initial 4-month FTC with the potential to go permanent. THE RESPONSIBILITIES: Continue to maintain and update Operational Risk Management Policy … of both the entities of the UK operations of the bank. Collection, analysis, monitoring, and reporting of Operational risk incidents and related OR MI to present to key governance committees. Conducting Root Cause Analysis in conjunction with business lines of reported operational risk incidents and preparing relevant reports … to Risk Management Committee. Planning, scheduling, and conducting Risk and Control Self-Assessments (“RCSA”). Convening RCSA Working Group meetings, preparation of minutes (with support from Associate) and ensuring tracking of actions, escalating to DCRO/CRO as needed. Annual refresh and update of the Risk Registers more »
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Technology Risk Manager - Outside IR35

London, United Kingdom
Jefferson Frank
Technology Risk Manager Outside IR35 - Up to £500 per day Remote - 3x Site visits across the 6 month period (Dublin and London) Start Date - ASAP I am working with a large investment company based in London that provides financial and technology solutions to the global investment industry. Must … Haves: Develop a Technology Risk Management framework, aligned to the Group Operational Risk Management framework, and embed this effectively across the Technology organisation Review/consolidate existing practices, ensuring any risks currently captured are reviewed, validated and where required, embedded into the new framework Support Technology in the … identification and quantification of Technology risks. Maintaining a Technology Risk Register. Establishing KPIs, KRIs and metrics. Provide regular reporting on Technology Risk to various internal committees and forums - including the Risk Committee, BOC, ISPDGF, IT Operating Committee. Monitoring of risk reduction initiatives and remediation plans for more »
Employment Type: Contract
Rate: £450 - £600/day
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Enterprise Risk Manager

London Area, United Kingdom
Taylor Root
Enterprise Risk Analyst | Financial Services | £80,000 - £100,000 Base Plus Bonus and Benefits Responsibilities: Lead the drafting and coordination of ICARAs and ICAAPs on behalf of the Risk Department, alongside other interdisciplinary risk analyses. Drive various change initiatives representing the Risk Department. Conduct thorough analysis … of enterprise-wide risk exposures, encompassing Market, Credit, and Operational Risk factors, with a focus on integrating client-level analysis where applicable. Compile and prepare materials for various external stakeholders, including regulators, exchanges, and rating agencies, as well as internal stakeholders such as Board and sub-Board Committees. … Evaluate the overall risk and control framework across both 1st and 2nd lines of defense, identifying gaps in coverage or implementation, and remediate any identified weaknesses as necessary. Enhance and refine the Enterprise-Wide Risk Management (EWRM) Framework, instituting new risk policies, procedures, and processes as needed more »
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Risk Manager
London
10th Percentile
£44,000
25th Percentile
£72,500
Median
£85,000
75th Percentile
£103,750
90th Percentile
£115,750