Market Risk Jobs in the UK

1 to 25 of 95 Market Risk Jobs in the UK

Market Risk Analyst

London, United Kingdom
Hybrid / WFH Options
Pepperstone
evolving, vibrant, diverse, global, and results-focused. You'll find our 550+ team currently across 11 locations and 9 time zones. The Role The Market Risk Analyst role exists to ensure Pepperstone's market risk is monitored and controlled to the best of our ability. Based … on a solid understanding and knowledge of financial markets and the CFD industry, the Market Risk Analyst has discretion within agreed boundaries, ensuring Pepperstone remains agile and responsive in the face of rapidly changing market conditions. As our Market Risk Analyst, your key responsibilities will … include: Proactively monitor market risk exposure across asset classes to ensure we maintain value at risk and exposure limits Actively minimise group market risk through the trading of financial instruments and escalate as required Proactively analyse flow across several asset classes and ensure that flow More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Risk - Market Risk - Analyst/Associate - London

London, United Kingdom
NCAA (National Collegiate Athletic Association)
MORE ABOUT THIS ROLE The Risk Division is responsible for independent review of market, credit, operational, model, and liquidity risk throughout the firm as well as enterprise wide stress testing. Market Risk is a Department within the Risk Division that facilitates effective deployment of … risk appetite, prudent risk management and regulatory compliance for the Firm's market risks. The group acts as a key stakeholder in ensuring that the firm's business plans are within its market risk appetite and engages directly with businesses on the review and challenge … of risk management actions. The group also plays a key role in keeping the Board of Directors apprised of the firm's market risk profile. This is achieved through the use of a suite of risk measures, proactive application of expert judgement, and limit setting. Activities More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Risk Project Manager

City of London, London, Coleman Street, United Kingdom
Deerfoot Recruitment Solutions Limited
Credit & Market Risk Project Manager Credit Risk/Market Risk EC2Y, London (Moorgate) £726.43pd (Inside IR35 Contract) We're looking for an experienced Project Manager with a strong background in credit and market risk, specifically within the end of day risk domain … not front office risk). This is a unique chance to play a key role in a major integration project for a leading global financial institution, with significant exposure to senior stakeholders and the opportunity to shape new business processes from the ground up. You will lead the risk … different technology stacks and business processes. The goal is to design and implement a new target operating model, reconciling differences and delivering a unified risk function across the combined entity. Your focus will be on end of day risk. You'll work closely with market risk managers More ❯
Employment Type: Contract
Rate: £650 - £726/day
Posted:

Market Risk Business Analyst

London, United Kingdom
Hybrid / WFH Options
Intec Select
Market Risk Business Analyst - Investment Banking Contract: 12 months (Inside IR35) Rate: £750 per day Location: London (Hybrid, 3 days per week in the office) Overview We are looking for an experienced Market Risk Business Analyst to join a leading investment bank on a 12-month … contract. This role will see you working on key market risk initiatives, collaborating with risk, front office, and technology teams to enhance risk frameworks, ensure regulatory compliance, and support system improvements. Role Responsibilities Act as the interface between risk management, trading desks, and technology teams. … Gather, document, and analyse business requirements related to market risk models, metrics, and reporting. Support the implementation of regulatory initiatives such as FRTB, Basel III, and Stress Testing. Analyse VaR, sensitivities, stress scenarios, and P&L attribution to improve risk frameworks. Assist in risk system upgrades More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Market Risk - VP

City of London, Greater London, United Kingdom
Hybrid / WFH Options
Qualserv Consulting Limited
We are looking for an experienced Senior Market Risk Consultant for a contract through to 31st March 2026. The role is with our London-based banking client. Rate of pay: £590 -920 per day inside IR35 via an umbrella company Hybrid: City of London 3 days a week … days a week remote working This Senior Market Risk Consultant will implement solutions across the EMEA region. Responsibilities include: 10+ years of experience in a similar technology delivery role in Commercial and Investment Banking Market Risk IT domain Extensive knowledge in Market Risk methodologies … analytics, and reporting. This includes architecting solutions for enhancement of risk measurement methodologies (e.g Rishk factors sensitivities, expected shortfall), monitoring and analysing market risk exposures, including Value at Risk (VaR), Stress testing scenarios and scenario analysis Understanding of the Market Risk Business domain and More ❯
Employment Type: Contract, Temporary
Salary: £600 - £920/day
Posted:

Senior Market Risk - VP

City, London, United Kingdom
Hybrid / WFH Options
Qualserv Consulting Limited
We are looking for an experienced Senior Market Risk Consultant for a contract through to 31st March 2026. The role is with our London-based banking client. Rate of pay: £590 -920 per day inside IR35 via an umbrella company Hybrid: City of London 3 days a week … days a week remote working This Senior Market Risk Consultant will implement solutions across the EMEA region. Responsibilities include: 10+ years of experience in a similar technology delivery role in Commercial and Investment Banking Market Risk IT domain Extensive knowledge in Market Risk methodologies … analytics, and reporting. This includes architecting solutions for enhancement of risk measurement methodologies (e.g Rishk factors sensitivities, expected shortfall), monitoring and analysing market risk exposures, including Value at Risk (VaR), Stress testing scenarios and scenario analysis Understanding of the Market Risk Business domain and More ❯
Employment Type: Contract
Rate: GBP 600 - 920 Daily
Posted:

Risk Division - Software Engineer - Associate - Birmingham Birmingham United Kingdom Associate

Birmingham, Staffordshire, United Kingdom
Goldman Sachs Bank AG
Risk Division - Software Engineer - Associate - Birmingham location_on Birmingham, West Midlands, England, United Kingdom The Risk division is responsible for credit, market and operational risk, model risk, independent liquidity risk, and insurance throughout the firm. The Goldman Sachs Group, Inc. is a leading global … to wellbeing and resilience offerings, we offer our people the flexibility and support they need to reach their goals in and outside the office. RISK BUSINESS The Risk Business identifies, monitors, evaluates, and manages the firm's financial and non-financial risks in support of the firm's … Risk Appetite Statement and the firm's strategic plan. Operating in a fast paced and dynamic environment and utilizing the best in class risk tools and frameworks, Risk teams are analytically curious, have an aptitude to challenge, and an unwavering commitment to excellence. Overview To ensure uncompromising More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Operational Risk Manager - Asset Management

Greater London, England, United Kingdom
Broadgate
A great opportunity has come up for an operational risk manager from the buy side who is looking for their next role. Job Title: Risk Manager - salary £80,000-£100,000 Location: London - office based 3 days per week Sector: Asset Management The Opportunity: We are currently assisting … our client, a prestigious financial services organisation, in their search for an experienced and highly skilled Risk Manager to join their growing team. This is a key leadership role that will work closely with the Chief Risk Officer (CRO) to support the design, implementation, and ongoing management of … the company's Risk Management Framework . The successful candidate will provide independent oversight and challenge to the business risk profile for the UK-regulated entity. Key Responsibilities: As Risk Manager , your primary duties will include: Risk Management Framework: Design, implement, and maintain a comprehensive risk More ❯
Posted:

Operational Risk Manager - Asset Management

london, south east england, United Kingdom
Broadgate
A great opportunity has come up for an operational risk manager from the buy side who is looking for their next role. Job Title: Risk Manager - salary £80,000-£100,000 Location: London - office based 3 days per week Sector: Asset Management The Opportunity: We are currently assisting … our client, a prestigious financial services organisation, in their search for an experienced and highly skilled Risk Manager to join their growing team. This is a key leadership role that will work closely with the Chief Risk Officer (CRO) to support the design, implementation, and ongoing management of … the company's Risk Management Framework . The successful candidate will provide independent oversight and challenge to the business risk profile for the UK-regulated entity. Key Responsibilities: As Risk Manager , your primary duties will include: Risk Management Framework: Design, implement, and maintain a comprehensive risk More ❯
Posted:

Deputy Head of Risk

London, United Kingdom
Hybrid / WFH Options
SEI Investments Company
investment management business outsourcing solutions for corporations, financial institutions, financial advisers and family offices. As a central part of the UK Legal entity, the Risk Management team is responsible for the independent identification, assessment, management and mitigation of business risk across the legal entity. As such the team … needs to understand the relationships and dynamics between each business area and provide a robust, value-added programme. The Deputy Head of Risk will support the Chief Risk Officer in the ownership and execution of the risk management framework and associated policies, procedures, tools and techniques for … the business to assess and manage their risk for the UK regulated entity with a focus on Asset Management. The role holder will provide independent oversight and challenge of the business risk profile for the UK regulated entity. Key responsibilities include: Assist and support the CRO (SMF More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Market Risk Analyst

london, south east england, United Kingdom
Vallum Associates
Role: Senior Market Risk Analyst Location: London Client: Trading House Role I am excited to be advertising a Senior Market Risk Analyst, within a Global Trading House based in London. Responsibilities As the Senior Market Risk Analyst for all Trading activities within the business … . Requirements needed: Lead risk management by creating frameworks that mitigate risks Oversee trading activities, monitor positions, track PnL 5+ years of market risk management experience Strong knowledge of European power and gas markets, both physical and financial Advanced coding skills (SQL, Python, M, DAX) If you … are a Market Risk Analyst and are interested in the advertised role, please apply to have your CV considered. More ❯
Posted:

Pricing & Valuations Data Team Lead - Market Risk, VaR

London, United Kingdom
Harvey Nash Group
Pricing & Valuations Data Team Lead - Market Risk, VaR sought by leading investment bank based in Belfast. Inside IR35 - 3 days a week on site The role requires some knowledge of Price Risk processes covering inventory, valuations, front-to-back controls, market risk processes(Value-at … Risk VaR, Stress-testing), model risk (including model methodology and validation), product control (P&L explain), IPV (Independent Price Verification) and end to end governance. The workstreams range from frameworks with a focus on operating model, risk and controls, methodologies, data and data controls, front office valuations … and controls, various market risk related workstreams to P&L attribution analysis (PAA), IPV and Price Risk reporting. Responsibilities: Support the Price Risk Program Initiative lead(s) to drive execution of strategic deliverables aligned to Data, Data Controls and Architecture changes Lead or participate in working More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Risk Manager

London, United Kingdom
SEI Investments Company
investment management business outsourcing solutions for corporations, financial institutions, financial advisers and family offices. As a central part of the UK Legal entity, the Risk Management team is responsible for the independent identification, assessment, management and mitigation of business risk across the legal entity. As such the team … needs to understand the relationships and dynamics between each business area and provide a robust, value-added programme. The Position The Risk Manager will support the Chief Risk Officer in the ownership and execution of the risk management framework and associated policies, procedures, tools and techniques for … the business to assess and manage their risk for the UK regulated entity. The role holder will provide independent oversight and challenge of the business risk profile for the UK regulated entity. Key responsibilities include: Assist with the overall design, implementation and ongoing maintenance of the Risk More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Market Risk Analyst

London Area, United Kingdom
RJC Group
Market Risk Analyst 📍 London | 💰 Up to £80k + Bonus | ⚡ Energy Trading Start-Up | 🕒 1+ Year Experience We're working with a fast-growing energy trading start-up in London, using data and tech to disrupt the power markets. We're looking for a Market Risk Analyst … with strong coding skills to help build their risk infrastructure from the ground up. What You’ll Do: Monitor and report risk across power markets Build and automate risk tools (Python essential) Support stress testing, VaR, and P&L attribution Work closely with traders and tech to … drive improvements What You’ll Need: 1+ year in market risk or a similar role (energy/commodities a plus) Strong Python skills; SQL/VBA a bonus Solid grasp of market risk metrics Self-starter mindset, comfortable in a lean team What You’ll Get More ❯
Posted:

Market Risk Analyst

london, south east england, United Kingdom
RJC Group
Market Risk Analyst 📍 London | 💰 Up to £80k + Bonus | ⚡ Energy Trading Start-Up | 🕒 1+ Year Experience We're working with a fast-growing energy trading start-up in London, using data and tech to disrupt the power markets. We're looking for a Market Risk Analyst … with strong coding skills to help build their risk infrastructure from the ground up. What You’ll Do: Monitor and report risk across power markets Build and automate risk tools (Python essential) Support stress testing, VaR, and P&L attribution Work closely with traders and tech to … drive improvements What You’ll Need: 1+ year in market risk or a similar role (energy/commodities a plus) Strong Python skills; SQL/VBA a bonus Solid grasp of market risk metrics Self-starter mindset, comfortable in a lean team What You’ll Get More ❯
Posted:

Risk Division - Software Engineer - Associate - Birmingham

Birmingham, Staffordshire, United Kingdom
WeAreTechWomen
The Risk division is responsible for credit, market and operational risk, model risk, independent liquidity risk, and insurance throughout the firm. The Goldman Sachs Group, Inc. is a leading global investment banking, securities, and investment management firm that provides a wide range of financial services … communities we serve to grow. Our people are our greatest asset, and we support them both professionally and personally through various initiatives and benefits. RISK BUSINESS The Risk Business identifies, monitors, evaluates, and manages the firm's financial and non-financial risks, supporting the firm's Risk Appetite Statement and strategic plan. Operating in a fast-paced and dynamic environment, our teams utilize best-in-class risk tools and frameworks, demonstrating analytical curiosity, a challenging mindset, and a commitment to excellence. Overview To ensure accuracy and timeliness in risk metrics delivery, our platform is More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Market Risk Analyst (London Area)

London, UK
RJC Group
Market Risk Analyst 📍 London | 💰 Up to £80k + Bonus | ⚡ Energy Trading Start-Up | 🕒 1+ Year Experience We're working with a fast-growing energy trading start-up in London, using data and tech to disrupt the power markets. We're looking for a Market Risk Analyst … with strong coding skills to help build their risk infrastructure from the ground up. What You’ll Do: Monitor and report risk across power markets Build and automate risk tools (Python essential) Support stress testing, VaR, and P&L attribution Work closely with traders and tech to … drive improvements What You’ll Need: 1+ year in market risk or a similar role (energy/commodities a plus) Strong Python skills; SQL/VBA a bonus Solid grasp of market risk metrics Self-starter mindset, comfortable in a lean team What You’ll Get More ❯
Posted:

Head of Credit & Risk - AdmiTrade

Warwick, Warwickshire, United Kingdom
Hybrid / WFH Options
ICEO
Join to apply for the Head of Credit & Risk - AdmiTrade role at ICEO - Venture Builder 1 week ago Be among the first 25 applicants Join to apply for the Head of Credit & Risk - AdmiTrade role at ICEO - Venture Builder Head of Credit & Risk- AdmiTrade. Position Overview. We … are seeking an experienced Head of Credit & Risk to design and implement AdmiTrade's credit, counterparty, and liquidity risk frameworks tailored to an OTC crypto trading environment. This is a highly autonomous, hands-on role ideal for a self-starter who deeply understands risk management in crypto … and OTC markets. The Senior Risk Officer will report directly to the executive leadership team and play a pivotal role in shaping the firm's risk culture. About us. AdmiTrade is a dynamic trading company dedicated to maximizing returns for investors through strategic trading and investment strategies in More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Power Market Risk Analyst

London Area, United Kingdom
RJC Group
have partnered with an Global Energy company who have positioned themselves as a pivotal player in accelerating the energy transition. The Role As a Risk Analyst you'll manage and asses Market Risks across their existing product portfolios, with a focus on European Power and help to establish … keen to step up into a senior leadership role in the near future. Responsibilities Support in creating new design methodologies allowing the assessment of risk outside of their existing metrics Play a commercially sided role in advising on the implementation of new products across the continental market Act … as a Lead to the wider market risk function. Communicate your findings to Senior Stake holders and wider management teams Improve the Risk IT Landscape and infrastructure. Requirements Strong understanding of market risk concepts and risk methodologies 2 + years of relevant experience in More ❯
Posted:

Power Market Risk Analyst

london, south east england, United Kingdom
RJC Group
have partnered with an Global Energy company who have positioned themselves as a pivotal player in accelerating the energy transition. The Role As a Risk Analyst you'll manage and asses Market Risks across their existing product portfolios, with a focus on European Power and help to establish … keen to step up into a senior leadership role in the near future. Responsibilities Support in creating new design methodologies allowing the assessment of risk outside of their existing metrics Play a commercially sided role in advising on the implementation of new products across the continental market Act … as a Lead to the wider market risk function. Communicate your findings to Senior Stake holders and wider management teams Improve the Risk IT Landscape and infrastructure. Requirements Strong understanding of market risk concepts and risk methodologies 2 + years of relevant experience in More ❯
Posted:

Market Risk Analyst

London, United Kingdom
Crédit Agricole SA
Types of Jobs - Risk Management/Control Job title Contract type Permanent Contract No Job summary A fantastic opportunity has arisen to join CACIB's Risk and Permanent Control team in the form of a Risk Analyst. This is a fast paced and diverse role based in … London but working very closely with front office and risk teams at Head Office in Paris. The stand alone nature of the role would be well suited to an individual who enjoys taking ownership of tasks and being proactive/self motivated in their approach to work. Key Responsibilities … Active participation in the definition of the risk framework and the annual review of limits; Validation of risk indicators, preparation of risk reports, control of limits respect and notification of overruns; Analysis of positions, risk indicators and results on a daily/weekly/monthly basis More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Risk Officer

London, United Kingdom
P2P
Info about the team The firm's Risk Management team is responsible for managing market risk, counterparty risk and liquidity risk. The team works closely with traders across discretionary and systematic trading of macro and relative value strategies in fixed income, foreign exchange, credit and digital … asset markets. MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: Risk management of fixed income and foreign exchange macro and relative value trading across market risk, counterparty risk, liquidity risk. Contribute to enhancing risk measurement and portfolio analytics and controls. Work within a collaborative environment both … within the Risk team and with other stakeholders. The role is hands on and will involve liaising with Portfolio Managers discussing portfolio and market risks and solutions to manage and optimise risks within the firm's risk framework. WORK EXPERIENCE/BACKGROUND: Essential Quantitative degree from a More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Pricing and Valuations Data Workstream Lead

Belfast, County Antrim, United Kingdom
Morgan McKinley (South West)
Contract duration - till end of Dec 2025 Role Context: The role will be part of a central Price Risk Program team charged with ensuring the timely execution of deliverables across all workstreams whilst imparting their subject matter expertise and know-how to be able to provide meaningful solutions that … are functional and sustainable. The team is responsible n driving transformation in underlying risk and control processes. The role requires some knowledge of Price Risk processes covering inventory, valuations, front-to-back controls, market risk processes(Value-at-Risk VaR, Stress-testing), model risk … P&L explain), IPV (Independent Price Verification) and end to end governance. Successful execution will require collaborating with cross-functional stakeholders within Traders, Markets Risk and Control, Quants, Technology and Risk Management and Finance, while leading engagements with Internal Audit and regulators. The program covers all asset classes. More ❯
Employment Type: Contract
Rate: £400 - £450/day
Posted:

Quantitative Analysis - Market Risk - Associate Director

london, south east england, united kingdom
Mazars
About the role We are seeking an experienced Associate Director to join our Market Risk advisory practice, focused on delivering innovative quantitative solutions to clients. In this role, you will leverage your deep quantitative expertise to advise clients on risk measurement, modelling, and regulatory compliance, contributing directly … strategic decision-making progress. Responsibilities Lead small and large multidisciplinary engagements and manage client relationships, provide advanced quantitative analysis and modelling to address complex market risk challenges Develop, validate, and implement quantitative risk models (including cVaR, CCR and xVA) Provide thought leadership in quantitative methodologies, regulatory requirements … initiatives, including identifying new opportunities and developing proposals What are we looking for? Minimum of 7-10 years of relevant experience in quantitative modelling, market risk management, derivatives pricing, or risk advisory within financial services Demonstrated experience in one or more of the following areas: derivatives pricing More ❯
Posted:

Quantitative Analysis - Market Risk - Associate Director

london (city of london), south east england, united kingdom
Mazars
About the role We are seeking an experienced Associate Director to join our Market Risk advisory practice, focused on delivering innovative quantitative solutions to clients. In this role, you will leverage your deep quantitative expertise to advise clients on risk measurement, modelling, and regulatory compliance, contributing directly … strategic decision-making progress. Responsibilities Lead small and large multidisciplinary engagements and manage client relationships, provide advanced quantitative analysis and modelling to address complex market risk challenges Develop, validate, and implement quantitative risk models (including cVaR, CCR and xVA) Provide thought leadership in quantitative methodologies, regulatory requirements … initiatives, including identifying new opportunities and developing proposals What are we looking for? Minimum of 7-10 years of relevant experience in quantitative modelling, market risk management, derivatives pricing, or risk advisory within financial services Demonstrated experience in one or more of the following areas: derivatives pricing More ❯
Posted:
Market Risk
10th Percentile
£59,375
25th Percentile
£82,888
Median
£100,000
75th Percentile
£103,750
90th Percentile
£105,000