76 to 100 of 137 Market Risk Jobs in London

Vice President - Modeling & Quant Analytics (MRG)

Location
Westminster, West End, United Kingdom
each other and customers in meaningful ways. Moodys is transforming how the world sees risk. As a global leader in ratings and integrated risk assessment, were advancing AI to move from insight to actionenabling intelligence that not only understands complexity but responds to it. We decode risk … model validation, coupled with practical experience is required, along with a good understanding of financial products and markets. A deep understanding of AI model risk management, including risks and controls specific to Generative AI and Agentic AI, and their implications for model validation and governance. Deep expertise in artificial ...

Finance and Risk Senior Consultant - 12 months fixed term contract

Location
Greater London, England, United Kingdom
standardise, automate and streamline finance and regulatory reporting across multiple accounting frameworks (US GAAP, Local GAAP, IFRS) and ensure accurate and compliant calculation of Risk Weighted Assets (RWA), PD, EAD, and SA-CCR metrics. The role bridges business and technology, ensuring that finance, risk, and product data … transformed into compliant, scalable, and auditable reporting solutions across legal entities (CGME, CEP, CGML). Key Responsibilities Engage with Finance SMEs, Risk SMEs, and Product Processor POCs to gather, analyse, and document business and regulatory requirements. Interpret requirements related to: US GAAP, IFRS, and Local GAAP reporting standards Regulatory ...

Front Office Quant Analyst

Location
Greater London, England, United Kingdom
Rates and Credit trading desks. This is a hands-on role combining quantitative analysis, development, and trader engagement, focusing on the delivery of pricing, risk, analytics, and workflow automation solutions used in a front office environment. You will partner with traders, quants, and technology teams to develop analytical tools … enhance trading processes, investigate market and risk data, and support business-critical decision making. The role offers significant exposure to front office stakeholders and complex financial products across Rates and Credit markets. Key Responsibilities Develop and enhance quantitative tools, trading analytics, and reporting solutions. Support pricing, risk ...

Senior Regulatory Reporting Specialist - 2026

Location
Greater London, England, United Kingdom
/IFR in Europe) with subject matter expertise in at least one of the main reporting areas: capital, liquidity, leverage, balance sheet, credit risk, market risk etc. At least 3 years of experience as a subject matter expert at a regulated firm or as a consultant Previous ...

Java Developer (Contract)

Hiring Organisation
Stanford Black
Location
London, UK
Employment Type
Full-time
Java contractors (also seeing exposure to OO python) in the city to build out brand new stress testing functionality to the major market risk system of the entire firm globally. They're replacing a legacy system with a next-generation platform utilizing bleeding-edge tech and a fundamental … genuinely tech-driven environment amongst a group of incredibly high calibre engineers. Required: 3+ years Java development experience in an enterprise environment. Market Risk and/or Stress Testing exposure in an enterprise environment. Strong Computer Science, Engineering (or a related subject) background. Able to work ...

Deutsche Bank Quantitative GSA Internship Programme - London - 2027

Hiring Organisation
Deutsche Bank
Location
Greater London, United Kingdom
Employment Type
Full Time
develop your professional network. About the Division: GSA owns and develops many cutting-edge quantitative analytics and projects. GSA started with delivering pricing and risk solutions to Sales & Trading and the majority of GSA internship topics have been around Fixed Income and Currencies (FIC) activities. The following teams … research and development of Deutsche Bank’s pricing models. The DB Analytics library is the inner mathematical layer of every DB pricing and risk management system, and it is used to price every cash and derivative transaction in rates, inflation, credit, foreign exchange, commodities, mortgages and hybrids. You should ...

Data Value Analyst

Location
Greater London, England, United Kingdom
each other and customers in meaningful ways. Moody’s is transforming how the world sees risk. As a global leader in ratings and integrated risk assessment, we’re advancing AI to move from insight to action—enabling intelligence that not only understands complexity but responds to it. We decode … risk to unlock opportunity, helping our clients navigate uncertainty with clarity, speed, and confidence. We are seeking candidates who model our values: invest in every relationship, lead with curiosity, champion diverse perspectives, turn inputs into actions, and uphold trust through integrity. Skills and Competencies 7+ years of relevant professional ...

Lead Technical Program Manager - Risk Technology

Hiring Organisation
Hackajob Ltd
Location
London, United Kingdom
Employment Type
Permanent
Salary
GBP Annual
hackajob is partnering directly with JPMorganChase to hire for this role. JOB DESCRIPTION Risk Technology provides the firm with a suite of applications and processes to manage risk across a number of areas/pillars, including Market Risk, Wholesale Credit Risk, Asset Wealth Management Risk and Climate & Nature Risk click apply for full job details ...

Risk Analyst (LNG, Power & Emissions)

Hiring Organisation
Richard James Recruitment Specialists Ltd
Location
London Area, United Kingdom
Hybrid working pattern (3/2) An opportunity has arisen for a Risk Analyst to join a leading global energy trading organisation based in London. You will work on real-time front-line control and business information for the management and traders, including daily PNL, risk reporting … risk analysis, participating also in projects to improve the ETRM and to support broader commercial activities. Main Responsibilities: Prepare and review daily P&L and risk reports, monitoring limits, and proactively resolving any issues in coordination with the relevant teams. Analyse PnL by trading strategy ...

Investment Data Operations Lead

Location
City Of London, England, United Kingdom
Asset Management Our client is a leading Asset Management company based in London and is seeking seeking a data expert to join a new Risk Data Operations team responsible for ensuring that all vendor and internal portfolio risk analytics used for risk management and portfolio construction across … organisation are delivered consistently, accurately and on a timely basis. The team are the stewards of risk analytics data. They focus on quality control of all data that feeds into portfolio risk analytics, including security factor exposures and proxies, factor returns and covariance matrices, fundamentals data, security ...

Senior Liquidity and Market Model Risk Architect

Location
Greater London, England, United Kingdom
Barclay Simpson is seeking a technically adept risk professional to join its Liquidity and Market Risk team in London with hybrid working (2 days in the office). The role focuses on stress testing, model ownership, validation-style testing and deeper analysis of model algorithms, code … data. You will monitor and govern risk models, test assumptions, and develop benchmarking models. A strong technical and quantitative background in model risk, validation or governance is essential. #J-18808-Ljbffr ...

Credit Risk Developer

Hiring Organisation
Adecco
Location
London, United Kingdom
Employment Type
Contract
Contract Rate
£700 - £800/day
Credit Risk Developer** (Contract) Duration: 12 Months (Possibility for extension) Location: London/Hybrid (3 days per week on site) Rate: A highly competitive Umbrella Day Rate is available for suitable candidates Role Profile Work closely with the Risk (RMD) Development team and liaise with RMD business … abilities and make certain the environment is positive, productive and motivating. Key Accountabilities: Responsible for effective and efficient running of the Credit and Market Risk systems, integrated into the wider banks environment to meet the needs of the trading desks. Delivering fast-paced agile high quality software changes ...

Credit Risk Developer

Hiring Organisation
Adecco
Location
London, South East England, United Kingdom
Employment Type
Full-Time
Salary
£700.00 - £800.00 per day
Credit Risk Developer** (Contract) Duration: 12 Months (Possibility for extension) Location: London/Hybrid (3 days per week on site) Rate: A highly competitive Umbrella Day Rate is available for suitable candidates Role Profile Work closely with the Risk (RMD) Development team and liaise with RMD business … abilities and make certain the environment is positive, productive and motivating. Key Accountabilities: Responsible for effective and efficient running of the Credit and Market Risk systems, integrated into the wider banks environment to meet the needs of the trading desks. Delivering fast-paced agile high quality software changes ...

Executive Director, SSA Bond Trading

Location
Greater London, England, United Kingdom
responsible for growing and managing the Sovereign, Supranational & Agency (SSA) Eurobond trading franchise, with a primary focus on European markets. The individual will lead market-making and trading activities across primary and secondary SSA bonds, develop trading strategies, manage client order flow, and work closely with Sales, Relationship Managers … other stakeholders to deepen client relationships and identify new business opportunities. The role carries responsibility for achieving revenue targets, enhancing the bank's market presence through competitive pricing, and driving process automation and RWA optimisation initiatives. Job Summary This role is responsible for growing and managing the Sovereign, Supranational ...

Markets Treasury - Liquidity and Capital Optimization - Executive Director

Hiring Organisation
JP Morgan Chase
Location
London, UK
Employment Type
Full-time
firm's binding financial resource constraintsDrive optimization efforts across collateral management, liquidity management (LCR/NSFR/internal stress models), counterparty credit risk RWA, market risk RWA, leverage, and GSIBUnderstand firm and legal entity-level drivers of financial resource consumptionPartner with relevant FICC & Equities trading desks … including liquidity (internal stress models, LCR, NSFR), Basel III, GSIB, SLR, SCB, and regulatory initial margin (NCMR/CCP)Strong knowledge of pricing and risk management of securities financing and derivative transactions, preferably cross-asset and with an understanding of derivative XVAsProven experience working with large amounts of data ...

Front-end Engineer (React / TypeScript)

Location
Greater London, England, United Kingdom
platform engineers. Our teams work together to grow our technology platform, Horizon. Horizon comprises multiple applications for trade execution, portfolio management and risk analysis for alternative asset managers in various domains, such as private equity, private debt and real estate. We work with AI tooling as a normal part … workflow. Key Responsibilities: Deliver new features to a high standard with meaningful test coverage for Validus applications including the order management system and the risk management system. Work collaboratively with other teams on features spanning multiple parts of the stack. Give useful, thorough code reviews and pair with others ...

Director, Quantitative Data Operations

Hiring Organisation
Fidelity Investments
Location
London, UK
Employment Type
Full-time
quality control of all data that feeds into investment processes, including, but not limited to, fundamental data, security T&Cs, portfolio holdings, and risk data. In this role, you will provide data expertise to portfolio and risk managers who use portfolio risk models and engineering teams which … investor questions, and develop automated systems for identifying data quality issues. The Expertise and Skills You BringDomain expertise in investment management, with knowledge spanning risk management, portfolio management, trading, and investment operations. Strong understanding of financial data including security, company, portfolio, and index-level information, as well as pricing ...

Credit Risk Stress Testing Associate – Python Modeling

Location
Greater London, England, United Kingdom
Nomura in the United Kingdom seeks an experienced stress testing modeller to join the Risk Management Division. You will develop and update prototype models for Market risk and Counterparty Credit Risk, implement them in our strategic risk system, and ensure regulatory compliance. Work closely with ...

SVP, In-Business Market Risk - Front Office Leader

Location
Greater London, England, United Kingdom
Citibank (Switzerland) AG in London is seeking an In-Business Risk Manager to identify and quantify market risks within the trading inventory across asset classes. You will track performance, understand capital frameworks, and support risk optimization efforts for the front office. You will work closely with trading … desks and risk teams, provide clear risk analyses, and contribute to regulatory readiness including FRTB. Strong Excel, SQL, and Python skills are preferred. #J-18808-Ljbffr ...

Vice President - Modeling & Quant Analytics (MRG), AI & Agentic Model Validation

Location
Greater London, England, United Kingdom
each other and customers in meaningful ways. Moody’s is transforming how the world sees risk. As a global leader in ratings and integrated risk assessment, we’re advancing AI to move from insight to action—enabling intelligence that not only understands complexity but responds to it. We decode … risk to unlock opportunity, helping our clients navigate uncertainty with clarity, speed, and confidence. We are seeking candidates who model our values: invest in every relationship, lead with curiosity, champion diverse perspectives, turn inputs into actions, and uphold trust through integrity. Skills And Competencies A deep understanding ...

LME Market Risk Analyst: Build & Own Risk Framework

Location
Greater London, England, United Kingdom
Kite Human Capital is recruiting an experienced LME Risk Analyst for a growing financial services firm building out its risk function ahead of direct membership with the London Metal Exchange. You\'ll own LME risk monitoring, controls and reporting, collaborating with Trading, Operations and Compliance … London-based hybrid setup. The role offers exposure to implementing the risk framework from the ground up, opportunities to lead development of monitoring tools, and a path to becoming the #J-18808-Ljbffr ...

Post Trade Data Platform Senior Data Engineer

Hiring Organisation
Centrica - CHP
Location
Hayes, London, United Kingdom
Employment Type
Permanent
Senior Data Engineer to help shape the next chapter of our Post Trade Data Platform, FinTRACE. FinTRACE is already transforming how Finance, Market Risk, Credit Risk, Treasury and Trade Finance teams access, trust and use data, and we are now taking it further: from a reporting … roadmap for the FinTRACE Databricks platform, helping it scale as the core platform for data engineering, analytics, AI and agentic workloads across Finance and Risk Technology. Set clear engineering standards, platform patterns and best practices so teams can build trusted, reusable and scalable data products with confidence. Partner with ...

Regulatory Change Business Analyst

Hiring Organisation
Adecco
Location
London, United Kingdom
Employment Type
Contract
Experience & Qualifications Working knowledge of reporting query software, spreadsheets and data mining Understanding of one of the major aspects of regulatory rules and reporting Market Risk, Credit Risk, CCR, large exposures Product Knowledge gained through working in the banking sector Experience in producing business requirements in liaison ...

Regulatory Change Business Analyst

Hiring Organisation
Adecco
Location
London, South East England, United Kingdom
Employment Type
Full-Time
Salary
Salary negotiable
Experience & Qualifications Working knowledge of reporting query software, spreadsheets and data mining Understanding of one of the major aspects of regulatory rules and reporting Market Risk, Credit Risk, CCR, large exposures Product Knowledge gained through working in the banking sector Experience in producing business requirements in liaison ...

Lead Java Developer

Hiring Organisation
Citigroup
Location
London, UK
Employment Type
Full-time
overall objective of this role is to lead applications systems analysis and programming activities. Responsibilities: Lead delivery of Real‐Time and On‐Demand Risk enhancements for the Credit Business by partnering directly with London‐based trading, MQA, Market Risk, and technology teams. Own the full development lifecycle … architecture, design, implementation, automated testing strategies, release execution, and ongoing production support. Drive alignment of RT/OD workflows with EOD Risk strategy, ensuring functional parity, reconciliation, and controlled cutover. Lead adoption and build‐out of RT/OD capabilities on strategic risk platform, including integration ...