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, credit More ❯
City of London, London, United Kingdom Hybrid / WFH Options
McCabe & Barton
We are working with a leading Financial Services client in the City of London that is seeking an experienced RiskManager to join the business on a permanent basis. This role is offering a base of £70,000 + bonus, pension and car allowance. Hybrid work available. The … ideal IT RiskManager will be tasked with leading the management of the risk and control frameworks across all CIO areas, ensuring alignment with RMF and overseeing core governance processes, including audit coordination, internal assurance, and HEAF attestation. Key Responsibilities: Lead and develop risk and control … frameworks across the CIO Provide Quality Assurance for risk assessment, testing, and reporting Foster a strong risk culture and best practice standards Manage risk reporting, governance committees, and audit processes Oversee supplier risk, compliance, and assurance initiatives Engage with 2nd and 3rd line functions to ensure More ❯
Lead Product Manager FinTech Risk Technology Role : Lead Product Manager Salary : Up to £110,000 + Shares Location : London (Hybrid - 3 days onsite) We're partnered with a high-growth, mission-driven FinTech that's rethinking how technology is consumed-making it more affordable, flexible, and sustainable. … user base and strong traction across both consumer and business markets, they're doubling down on one of their most critical capabilities: intelligent, scalable risk and credit decisioning . This is a core pillar of the business, powering everything from onboarding and pricing to fraud detection and customer experience. … They're now hiring a dedicated Lead Product Manager to take ownership of this area and help build the company's next-generation risk infrastructure. What makes this special: Deep impact - own the systems that sit at the heart of growth, risk, and profitability ️ Cutting-edge tech More ❯
uncorrelated returns through hedge funds, alternative investments, and growth equity. They're currently looking for someone to join their Equity team as a Senior Risk Manager. Main responsibilities: Oversee risk monitoring and management of Equity portfolios. Support and challenge Portfolio Managers in investment and risk processes. Monitor … global market developments and define risk scenarios. Enhance processes, models, tools, and systems for risk management. Collaborate with global risk team to monitor market impacts and drive results. Your profile: Bachelor or Master's degree in Finance, Statistics, STEM or similarly related fields. Proven experience working in … risk, quant, structuring or trading roles. Strong programming skills in Python. Expertise in long/short equity investments, equity factor modelling, risk prediction and stress modelling. Fluent in English (C1). If you are interested in discussing this role in a more detail - please apply with your current More ❯
london (city of london), south east england, United Kingdom
Selby Jennings
uncorrelated returns through hedge funds, alternative investments, and growth equity. They're currently looking for someone to join their Equity team as a Senior Risk Manager. Main responsibilities: Oversee risk monitoring and management of Equity portfolios. Support and challenge Portfolio Managers in investment and risk processes. Monitor … global market developments and define risk scenarios. Enhance processes, models, tools, and systems for risk management. Collaborate with global risk team to monitor market impacts and drive results. Your profile: Bachelor or Master's degree in Finance, Statistics, STEM or similarly related fields. Proven experience working in … risk, quant, structuring or trading roles. Strong programming skills in Python. Expertise in long/short equity investments, equity factor modelling, risk prediction and stress modelling. Fluent in English (C1). If you are interested in discussing this role in a more detail - please apply with your current More ❯