Greater London, England, United Kingdom Hybrid / WFH Options
MSCI Inc
look to develop deep linkages with our clients and help clients make best usage of our products in the context of their investment or risk process and their business goals. The individual will be responsible for supporting a suite of our Analytics Products. This will involve sharing best practices … explaining risk models applied to multi asset class portfolios and partnering with the sales team to provide expertise in client engagements and pre-sales activities. Successful candidates will have a thorough knowledge of marketrisk measurement and management, pricing of asset types (including equity, fixed income, commodities … relationships within our regional client base; implement strategic plans to ensure client retention. Develop expertise in MSCI products and models as well as latest market trends and regulatory landscape to provide clients with Best Practices guidance. Identify opportunities to increase client usage of our products and identify new users. more »
Location: London, UK (Hybrid) Are you passionate about financial markets and risk management? Join an innovative trading and investment firm, where youll play a pivotal role in managing marketrisk and optimising trading processes for millions of investors. My client is seeking a Quantitative Trader who is … driven to leverage their expertise in trading strategies to enhance operational efficiency and drive impactful business outcomes. Your Responsibilities: Manage MarketRisk Exposures: Ensure alignment with the firms risk policies, implementing top-tier risk management practices. Optimise Trade Execution: Oversee and refine internal and external order … to track and refine trading data and strategies. Collaborate on New Tools and Products: Work closely with internal teams to develop innovative trading and risk management tools that enhance controls and boost efficiency. Best Execution Monitoring: Lead ongoing monitoring of execution quality and prepare comprehensive monthly reports for internal more »
Join a reputable commodities trading firm and play a pivotal role in risk management across trading within Gas/Power. You’re going to be working very closely with trading teams here, with lots of interaction with the business to analyse, model, and report marketrisk for … You’ll be no different and you’ll be given a lot of autonomy to make the best decision for automating and optimising analytical risk reports. In terms of your experience, you’ll need to have an in-depth background in either Gas or Power as opposed to being more »
Risk and Control SME - MarketRisk - 1LOD | Banking | £700/day Inside IR35 | London | HYBRID 3 days in the office per week | Initial Contract until December 2025 | Our client is looking for a highly energised SME with knowledge of marketrisk, data management and MI … reporting. You will support first line MarketRisk Trading management and control. Your Key Required Experience: Relevant experience working in a Front Office/Operations support environment Strong data analytical skills Excellent communication skills Experience in a 1st/2nd Line of Defence Risk and Controls function … with a background in managing financial risk in a large financial institution Job Title: Markets Controls Risk Analyst Location: London Contract: 12 Months Hours: Hybrid 3 days in the office per week/2 day's work from home Rate: £700/per day Inside IR35 (You will more »