it to grow its 1GW portfolio to 4GW by 2030. The company is seeking a motivated Portfolio Manager responsible for managing the revenue and risk of their asset-backed portfolio, leading on new off-take agreements, RTM assessments, portfolio optimising and long-term strategy. Portfolio Management – Reviewing portfolio … and exposure and implementing robust riskmanagement processes, staying abreast with energy market changes and portfolio exposure PPA/Off-take - Support the BD team in originating and tendering of PPA/Off-take agreements and assessing new value-add opportunities Route-to-Market assessment – Leading on route … generation and storage technology and market changes and collaborate with Seniors on long-term PPA/offtake strategy Skills & Qualifications: Demonstrable experience in the management of PPA’s, Offtake agreements Experience with hedging, merchant risk and portfolio optimisation Excellent communication ability Exposure to structuring and origination of new more »
This role reports to the CISO and DPO who leads a team responsible for the management of Operational Risk across Enterprise IT and for the oversight of Cyber Security, Information Security, Data Privacy and Operational Resilience. Job Purpose: The purpose of this role is to operate the operational … riskmanagement framework, working with business areas and support functions, to identify, assess, monitor and report on the operational risks the bank faces. The primary focus of the role will be the management of Operational Risk as it relates to: business aligned technology; and cyber security. … The role will have a secondary focus supporting the broader Operational Risk team in providing 2 nd line oversight of other business areas and support functions as required from time to time, although specialist knowledge of these areas is not a pre-requisite. The role reports to the CISO more »
rates, FX, equities, credit, and commodities in developed and emerging markets. Off the back of strong performance, the firm is looking to make a Risk Officer hire in its London risk team, which will report directly into the CRO. RiskManagement is very much part of … active across a broad range of strategies/asset classes. This is an incredible opportunity for the hire to establish themselves as a specialist Risk professional at a market leading buy-side firm, to take ownership of high performing trading desks and to be actively involved in the investment … process (risk managers are encouraged to come to the desk with topics and ideas). Opportunities for progression are unparalleled within this role. In the past, we have seen various Risk Analysts/Risk Officers at this firm moving into Investment Analyst/Junior PM roles, trading more »
Insight Investment is looking for a Developer to join the Risk team in London. The Risk team is aligned with the Global Investment RiskManagement function and supports the Risk and Analytics platform. The main features of the platform are: Production and processing of risk related metrics such as VaR, stress tests and other analytics Bespoke tools to analyse Liquidity risk and Collateral requirements Self-service and Dashboard style reporting architecture providing position data, risk analytics and performance for the Risk and Investment teams as well as the wider firm You … working with SQL databases Good understanding of data structures and algorithms Good analysis and problem solving skills Keen to learn about the business domain (Risk) Ability to engage with highly technical business stakeholders and turn ambiguous requirements into working software Programming as part of a team and performing peer more »
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 market and more »
and actively promote and support a positive PSM culture. You will also ensure focus and delivery of relevant activities to drive programmatic process safety risk reduction, including implementation and verification of practices against the JM process safety policies to ensure compliance, reporting metrics and incidents to JM. This role … will work closely, proactively, and collaboratively with the wider PSM Team to support the development and implementation of the Process Safety Management strategy for PGMS. Johnson Matthey, a FTSE 250 organisation, is a global leader in sustainable technologies specialising in catalysis, precious metal products, chemicals and process technology. With … policies, procedures and programs. Support the improvement and development of process safety practices and systems to drive consistent behaviours and systematically control process safety risk and compliance. Provide expertise on process safety risk assessment and riskmanagement processes, methods, and standards; leading process safety riskmore »
start-up hedge fund. This multifaceted standalone role will oversee all operational aspects for the firm such as trade execution oversight and settlement, operational riskmanagement, cash management & liquidity monitoring, fund performance reporting and monitoring, fund accounting oversight, vendor oversight, developing Prime Broker relationships, as well as … for the FCA, SEC, and CFTC, along with compliance frameworks applicable to hedge funds. Additionally, you will be proficient in trade execution platforms, portfolio management systems, and riskmanagement tools such as Bloomberg and MSCI RiskMetrics. To be considered, candidates must have an accountancy qualification or will … will bring 5+ years fixed income operations experience focused on credit instruments, derivatives, and financial markets, preferably gained in a hedge fund or asset management firm. Experience of working with Prime Brokers and a strong knowledge of Cayman fund structures is also required. It’s worth noting that you more »
This is a broad and varied role so we are seeking a Senior PCI QSA who has a broad range of skills across Cyber Risk, Governance, and Compliance (GRC), NIST, ISO 27001, Risk Assessments, supplier risk assessments, cyber maturity models, and third-party risk management. What … Your Role: As the Principal Consultant (Senior PCI QSA), your mandate will be to guide clients from diverse industries in navigating security and cyber risk, governance, and maturity within the context of their business and the threats they face. Your role encompasses conducting gap analysis and risk assessments … implement compliance and audit frameworks while presenting security advice to key customer stakeholders. Your responsibilities will include, but not limited to: Consulting and Cyber Risk Advisory Services - Conducting gap analysis, supplier audits, third party assessments and risk assessments related to multiple information security frameworks such as ISO more »
Our client, a leading Global Banking Group is looking for a VP Quantitative Analyst to join them as Model validator in the their Model RiskManagement team in London. The role holder will be responsible for the validation of non-traded market risk models such as Economic … capital, IRRBB, ALM, Stress testing, Counterparty Credit Risk Models, Climate Risk Models. This is an exciting opportunity to join a major global Bank, within a growing team and with quick progression opportunities. Requirements: An advanced degree in econometrics, economics, quantitative finance or another quantitative discipline Experience in IRRBB … ALM, Stress testing, Credit risk or Counterparty Credit Risk Experience in coding (R, Python, MatLab, etc) In-depth knowledge of Model Riskmanagement processes Due to the high levels of applications received, only successful candidates shall be contacted. If you are suitable for any other roles more »
The world of investment is changing. Our vision at Legal & General Investment Management is to create a better, more sustainable future through responsible investing. We work in partnership with our clients around the globe to deliver positive long-term outcomes, while rising to the challenges of a rapidly changing … Manager who will lead the successfuldelivery of defined project work packagesas delegated by the Project Manager and requiring deployment of project control and project management techniques. The role holder will be responsible for the delivery of projects or work packages of limited complexity to budget, schedule, scope & risk management. The role may include some team leadership responsibilities. What you'll be doing Assisting the project manager across all aspects of project management for a project, including the deployment of project control and project management techniques. Managingsubcontracts, work packages and/or small projects, ensure delivery more »
Senior Sustainability Consultant – Climate Risk and Strategy Our client is one of the World’s premier consulting firms with over 150 years expertise in the field of certification, riskmanagement and assurance working closely with clients to drive transformation and transparency around products, supply chain and ecosystems. … As a Senior Sustainability Consultant, you will become a pivotal member of the UK Sustainability and ESG advisory team offering expertise and delivering climate risk services including financial and non-financial risk assessments, identify market trends and scenario based modelling. As well as the opportunity to lead on … will also have the opportunity to work across other work streams including Sustainable Finance, Sustainability Assurance and Supply Chain Management. Requirements Knowledge of climate risk identification and management, including relevant ESG regulations (such as TCFD and CSRD), and industry challenges and trends A sound understanding of climate riskmore »
Operational Risk Officer - 2nd Line of Defence (Major Financial Institution) A client is seeking a highly motivated individual to join their Risk team as an Operational Risk Officer. This role plays a vital role in the second line of defence framework, ensuring effective risk identification, assessment … and reporting. Key Responsibilities: Manage operational risk activities, including event capture and risk assessments. Analyse data and identify trends to inform risk mitigation strategies. Prepare risk committee reports and maintain a risk library. Provide training and ensure adherence to riskmanagement policies. Requirements … Strong operational risk experience in financial services. Excellent analytical, reporting, and communication skills. Proficiency in MS Office Suite. To Apply: Please submit your CV to amelia.clark@rcqassociates.com more »
Treasury Solutions Consultant £Excellent salary + Bonus London (on site) They are a renowned, independent, global specialist treasury and riskmanagement consultancy offering expert advice and practical support to corporates, investment management, asset management and alternatives investment funds. They offer a range of treasury solutions and … financial riskmanagement solutions to clients. This is a new role which supports further expansion of their treasury solutions offering which offers automated treasury operations coupled with advanced data and analytics. The role will assist financial sponsors and their portfolio companies improve efficiency, manage risk, and construct … desire to learn and develop professionally as a consultant. THE ROLE Reporting to the Head of Treasury Solutions, you will drive and oversee the management and execution of Treasury Solutions engagements. cultivate and develop relationships with private equity sponsors, portfolio companies & corporates, increase the effectiveness and efficiency of the more »
role of a BCS. The post holder will deal with a range of complex building control duties. Responsible for the day-to-day project management of multiple projects. Ensuring, as far as Reasonably practicable, compliance with building regulations and associated standards of construction projects and/or conversion projects. … care homes, hotels, and student accommodation. Help promote the introduction of new products and services as required. Responsible for upholding the groups quality (ISO9001) riskmanagement and ensuring compliance with all legislative requirements working with the Risk and Compliance Team. Ensure awareness and uphold best practice in … respect of all riskmanagement initiatives and that all policies and procedures are adhered to within your remit to ensure rigor around PI/PL insurance and Building Safety Regulatory requirements. Undertaking restricted activities in accordance with the RBI Code of Conduct for assigned projects - to ascertain compliance more »
development and execution of hardware projects, from initial planning through to final deployment. Your responsibilities will encompass project scoping, cross-functional team alignment, scheduling, riskmanagement, and stakeholder communication. This position requires a deep understanding of hardware development processes, including electronic and mechanical design, prototyping, testing methodologies, market … project timelines and deliverables. If you thrive in a fast-paced, innovative environment and possess a strong foundation in hardware engineering coupled with project management expertise, we invite you to apply for this exciting opportunity to lead transformative hardware projects and contribute to our organisation's success Required skills … from initiation to completion; with prior experience of 5+ years in similar engineering environments, potentially filling different roles Proficiency in project planning, resource allocation, riskmanagement, and budget control with relevant experience using industry standard software tools such as MS Project, JIRA, Confluence and collaboration tools such as more »
Head of Liquidity Management, Investment Management London, hybrid Position Overview: Our client are seeking a highly skilled and detail-oriented liquidity management/treasury specialist to join them as a Head of Liquidity Management. You will be responsible for overseeing and validating the operational aspects of cash … management and managing the FX hedging program and relationships with FX counterparties. This role will have management responsibility for junior liquidity management specialists. Responsibilities: **Cash Management/Forecasting:** Prepare daily cash reports detailing forecast cash levels across all fund strategies. Collaborate closely with Fund Finance and … to ensure alignment between accounting cash levels and custodian balances. Manage two small teams located in London and abroad. **FX Hedging/Counterparty Relationship Management:** Supervise the FX hedging program with support from a junior FX trader. Negotiate commercial terms for ISDA/GMRA documentation. Manage FX counterparty relationships more »
Information Security Risk Analyst Location: Hybrid - London Package: Negotiable + Benefits The Information Security Risk Analyst III at Brown & Brown is responsible for analysing information security controls both within our organisation and with third-party entities. This analysis aims to identify and assess associated information security risks, and … requires a thorough understanding of information security principles and practices, as well as the ability to evaluate complex systems and processes. The Information Security Risk Analyst III plays a crucial role in safeguarding our organisation's information assets and maintaining a strong security posture. The day to day: research … new or potentially new third parties. track, monitor, and investigate potential information security incidents reported by company’s third parties. and analyse third party risk including documentation. guidance in identifying, evaluating, and developing processes and procedures that are effective; meet information security standards and requirements, and follow information security more »
London, England, United Kingdom Hybrid / WFH Options
AECOM
within commercial/light industrial environments, building surveying experience is desirable. In time, the candidate should be willing to support work winning and Client management in both private and public sectors. Job Duties: Survey and Report Writing: Conduct comprehensive surveys and produce clear, concise engineering reports for a full … skills, along with a working knowledge of Microsoft Office software. Software Proficiency: Experience with tablet-based software, such as GoReport, Kyklcoud, and MOBIESS. Time Management: Excellent time management skills, including ensuring all reports are completed in a timely manner to uphold the company’s reputation. Financial and RiskManagement: Proficient in financial, commercial, and riskmanagement from project inception through to completion on own projects. Flexibility: Ability to work away from an office environment and potentially domestically and abroad. Security Clearance: Eligibility for DBS or other security clearance checks is required. Preferred Requirements Have more »
and maintain appropriate cybersecurity policies, procedures and standards and ensure they are aligned with any regulatory requirements and industry best practices. Establish a security riskmanagement framework, define risk appetite and tolerance levels and conduct regular risk assessments and vulnerability scans. Assess and manage cybersecurity risks … associated with third-party vendors and service providers. Implement the vendor risk assessment processes and ensure cybersecurity contractual requirements for cybersecurity are considered. Support, where appropriate, cybersecurity incidents and attend the cybersecurity operation meetings. Support and advise on the deployment of appropriate tools and technologies, and ensure that they … security technologies, threat landscape, vulnerabilities and mitigation strategies. Familiarity with regulatory and compliance requirements (such as GDPR, HIPAA, PCI DSS, etc.). Proficiency in riskmanagement and assessment methodologies. Proven policy, procedure and standard development in all areas of cybersecurity. Exceptional skills in conducting cybersecurity assessments and audits more »
Head of Engineering Eames Consulting are excited to be working alongside a prestigious asset management firm based in London. They are seeking an experienced Head of Engineering to lead their technology initiatives and drive innovation. The ideal candidate will have a proven track record of building and managing high … performing engineering teams, as well as a deep understanding of financial markets and investment management processes. Key Responsibilities: Provide strategic leadership and direction for the engineering team, aligning technology initiatives with business objectives and driving innovation to enhance our competitive advantage. Build and mentor a team of talented software … professionals, fostering a culture of collaboration, innovation, and continuous learning. Lead the design, development, and implementation of cutting-edge technology solutions to support asset management functions, including portfolio management, risk analysis, trading, and compliance. Collaborate with cross-functional teams, including investment professionals, riskmanagement, operations more »
We are seeking an Associate to support our client's RiskManagement team. The successful candidate will assist in the daily monitoring and controlling of positions, collateral, liquidity risk, and investment. The role is task-oriented and requires a developing understanding of key risk methodologies and … frameworks. Some Role Responsibilities: Assist in the reporting and daily monitoring of collateral markets Measure the risk exposure of portfolios in the context of liquidity and collateral risk Identify and implement improvements to daily processes Monitor investment counterpart exposures versus limits and policy The Candidate: The ideal candidate …/market-based qualification e.g. IOC (preferred) Willingness to complete further qualifications e.g. CFA/FRM/IMC/ACT A solid understanding of risk principles Understanding of liquidity riskmanagement Excel/Word skills more »
Technology Risk And Governance Manager | Leading London Market Insurer Finitas are excited to be working with this leading London Market Insurance company in their search for a Technology Risk and Governance Manager to support in the 1st LoD. Requirements for the role; 5+ years expereince in Technology RiskManagement Knowledge of Technology, Security, and RiskManagement concepts, frameworks, and standards Excellent stakeholder management skills Experience in an Info Sec role Please reach out to find out more about this opportunity more »
It is essential that all applicants have some UK work experience. Our client, a Financial Institution, is seeking an Asset Liability Management Analyst to join their team on a permanent basis. The role of the position is to support the Head of Finance to provide technical and analytical recommendations … to the executive management team, to deliver efficient funding of the business, maintain an effective control environment to mitigate and minimise financial and operational risk. Assist to ensure asset and liability and specifically liquidity risk are managed accordingly. Assist to ensure accurate and timely submission of liquidity information … to the relevant parties. Responsibilities include (but not limited to): Perform asset and liability portfolio analytical review Assist in preparation of ALCO management reports Enhance and develop business analysis and regular performance appraisal Enhance budget/KPI management and regular monitor of budget/KPI progress Industrial analysis more »
will report to the Head of Model Validation. The purpose of the role is to act as the second line of defence on model risk and to validate the models used in the Bank. The role is an essential part of the Model Validation team. The team’s remit … covers all models including a wide range of pricing and risk models. The team is expected to look beyond checking the correctness of the model from a mathematical and implementation perspective. It is essential to provide a robust challenge to modelling assumptions and to review market applicability issues and … validation reports up to standards such as required by SS 1/23 and follow up with stakeholders on identified modelling issues and model risk mitigants. Participate in the validation of models other than class front office pricing and XVA models where required. Collaborate and interact with the different more »
practitioners to join their expanding Actuarial Insurance & Banking team. The AI&B Banking team is dedicated to delivering shareholder returns through strategic financial resource management, operational frameworks, and risk and regulatory initiatives. They leverage industry expertise and advanced analytical methodologies to navigate the complexities of the banking sector. … Role Overview: The client is looking for a Consultant or Senior Consultant to join their AI&B Banking team. This team consists of 30 management consultants with diverse skills in financial analysis, economics, quantitative modelling, and data science. The team members bring extensive experience from both industry and advisory … backgrounds in strategy, finance, treasury, risk, regulatory, commercial, and operational domains. Key Responsibilities: Providing strategic advice and guidance to Tier 1 banks on balance sheet optimization and regulatory compliance. Developing cost of equity frameworks and contributing to sustainable finance initiatives. Supporting strategy development through insights on client demand response more »