most complex business challenges and is currently experiencing an exceptional rate of growth. The team offer deep treasury expertise in financial products and markets, riskmanagement, systems, governance, valuation and accounting. We work closely with other high impact functions within KPMG such as Audit, Risk Consulting and … Management Consulting to provide a wide range of treasury advisory services.As a Senior Manager, you will liaise directly with your clients responding to a range of technical queries, drawing on your own expertise and identifying when additional input is required from other colleagues and subject matter experts across the … your staff. You will lead teams and supervise the work of employees based in the UK and offshore locations. You will also have performance management responsibilities for a small number of staff.Responsibilities• Undertaking reviews and implementations of Treasury strategies, policies, target operating models, cash management processes, and technology more »
been pre-eminent and well received by clients since its launch in 1999 and formal National model from 2019. Key products covered are cash management, liquidity, trade & working capital, debt finance, FX and Barclaycard and as appropriate working with the Investment Bank with their specialist suite of products. TMT … ensuring high levels of client satisfaction from this portfolio through creating deep, multi-stakeholder relationships with both existing and new contacts whilst ensuring effective risk management. As a TMT industry specialist you will be expected to understand and be up to date with industry news, corporate transactions, relevant advisors … on Power of One Barclays principles and ensuring strength of direction, momentum and implementation of projects in a timely and professional way. •Ensure effective riskmanagement across the portfolio and work as a cohesive team with specialist managers carrying out financial, regulatory and control environment due diligence reviews more »
offering maps to current and future market and regulatory requirements. Planning and monitoring program execution, project coordination and managing project interdependencies, cross-project resource management, Identifying and addressing problems and risks, program documentation, stakeholder communications, negotiations, and problem-solving. Responsible for establishing, sales process, training of technical and sales …/or CISA certifications would be beneficial but equivalent experience or demonstratable equivalent knowledge will also be accepted. Cyber, Security, Information Security leadership, Technology, Management, RiskManagement and Governance, Incident Response, Security Remediation, Security Policy Creation, Third Party RiskManagement, Attack Surface Management Creation … The role holder will possess first-hand knowledge of the Enterprise’s typical digital infrastructure estates and will have demonstrable experience working with IT management to successfully create cybersecurity frameworks and capabilities within these organizations covering both data centre IT and OT systems & processes. The role holder will have more »
team together on a regular basis to share.Connect to your career at DeloitteDeloitte drives progress. Using our vast range of expertise, that covers audit, risk advisory, and consulting services across tax, legal, business, technology, and corporate finance, we help our client’s become leaders wherever they choose to compete. … Manager in Operating Model Transformation - Capital Markets, you will work on complex and challenging projects within the Capital Markets industry with a focus on risk and controls. You will have the opportunity to learn and grow by using the practice’s sophisticated tools and methodologies, whilst having the opportunity … and learn from some of the top practitioners in our firm.To be successful in this role, you will need to have had exposure to risk & control project work and/or risk frameworks, so that you can translate your findings into tangible solutions.You should also be able to more »
My client, a prestigious hedge fund, seeks an elite Python Developer to join their established Risk team. You will be joining a highly proficient team within the firm and will be responsible for designing, building and delivering solutions to their riskmanagement and trading desks. You will … be expected to interact directly with the business users in the investment control, middle office and risk spaces, and be able to understand and interpret their requirements, whilst ensuring solutions are delivered in a strategic and sustainable way. The ideal candidate would have exceptional technical skills and a strong … to bring your own and others innovative ideas to life. This is an excellent opportunity for a highly motivated individual with a passion for riskmanagement and technology to join a leading systematic hedge fund and work with a team of experienced professionals in a dynamic environment. My more »
of Control's will: Assess existing processes, controls and oversight framework to identify and remediate issues by providing expert guidance ensuring effective assessment of risk across the transaction lifecycle. Lead self-inspection by aligning with the business, to develop effective riskmanagement framework and related risk assessments. Drive & implement an effective control framework, proactively assessing threats and vulnerabilities to prevent future incidents. Coordinate with 2nd LoD regarding risk appetite, limits and guideline setting & issue management. Ensure that riskmanagement considerations are embedded in the processes and strategy. The Head of Controls will … have strong experience in banking on operational riskmanagement and internal control's, and will possess strong leadership qualities as well as being a good communicator. For a confidential conversation: Email: daniel.brennan@capitalmarkets.ie Call more »
We are supporting a London-based client with the recruitment of a Market Risk Control Specialist on a permanent basis. The ideal candidate will have a background in product control or market riskmanagement, as well as experience in commodities and derivatives. Additionally you’ll be comfortable … managing the execution of key strategic activities that involve some operational tasks and reporting. Your role will be fundamental in ensuring compliance with market risk controls for the group. Your key areas of responsibility will include: Market riskmanagement: identify, analyse and mitigate through the use of … financial instruments Production of P&L reports, with explanation of P&L movements to management in terms of trading activity, key drivers, profit attribution analysis Utilising the concept of mark-to-market, and articulating market/price volatility in terms of its effect on P&L, cash flow and more »
Oliver Wyman Actuarial – Actuarial positions – UK Life Office: London Company Overview Oliver Wyman is a global leader in management consulting. With offices in more than 70 cities across 30 countries, Oliver Wyman combines deep industry knowledge with specialised expertise in strategy, operations, riskmanagement, and organisation transformation. … department and seeking Actuaries (partially or fully qualified) to join the UK team. This position requires the candidate to work closely with our wider management consulting team, as well as our actuarial teams across Europe and other regions, to independently analyse complex problems and develop innovative solutions for our … leveraging the tools available and developed by Oliver Wyman globally. This will also cover capital optimisation, IFRS 17 and understanding the latest regulatory changes Riskmanagement and support, including validation, risk appetite reviews and oversight, as well as emerging practice on climate risk New business propositions more »
venue and exchange matters. To manage the day-to-day operation of the CFE Compliance department, including budgets, hiring and performance management. Key Responsibilities: RiskManagement Manage the delivery of an annual Compliance Risk Assessment exercise. Produce and deliver a risk-based Annual Compliance Plan. Review … and challenge the regulatory and conduct aspects of the Risk and Control Self Assessments (RCSA) performed by the first line. Ensure that any risk mitigation actions are performed on a timely basis. Have overall responsibility for operational riskmanagement issues within the Compliance function and operate … as the key contact with the Operational Risk function. Policies and Procedures Manage the creation and delivery of a Compliance Policy Framework that is designed to address all material regulatory and conduct risks. Provide input into and assist with the drafting of relevant Compliance policies and procedures. Support the more »
Risk & Compliance Manager - Financial Promotions A leading tech company are looking for a Risk & Compliance Manager for the Marketing and Revenue & Trading teams with a key focus of supporting the business on regulatory and risk matters, in order to effectively manage the risk and compliance environment … with a commercial lens. This role will be supporting the risk & compliance on marketing special offers to customers etc. Responsibilities: Closely support first line colleagues in Marketing and Revenue to working with the business to ensure current and emerging risks are effectively managed. Support the Senior Manager horizon scanning … of new and emerging risks whilst implementing effective methods and techniques to manage risk across the board. Ownership of the preparation and delivery of the monthly FLOD packs/process to a high standard. Provide expert advice and approvals for all marketing activity (both financial and non-financial promotions more »
Our work makes a difference, our performance positively impacts over 3.4 million members. A leader of leaders with dual-location people management responsibilities. Stepping into lead an established, multi-functional, high performing team. AustralianSuper is the largest pension fund in Australia, and is a top 20 pension fund and … our global workforce and leaders. Leading a London and New York based team, the Head of Colleagues and Culture, International is responsible for the management and oversight of all international Colleagues and Culture functions and plays a key role in implementing global growth plans for AustralianSuper. It is a … the international strategic workforce plan. Build the Colleagues and Culture team capability in the London and New York Offices, both in terms of team management and the Fund’s broader market presence. Manage responsibility for WHS matters relating to international locations, including the ownership of obligations. Contribute to, and more »
Business Analyst (Third Party Management) London/Sheffield (minimal requirement to go into office) Contract until end of 2024) £738.49 p/d Umbrella If you’re looking for a career that will help you stand out, join HSBC, and fulfil your potential. Whether you want a career that … that will take you further. We are currently seeking an experienced individual to join this team in the role of Business Analyst (Third Party Management). Role Purpose: HSBC Procurement IT has an exciting opportunity to support the roll out of a new supplier risk and management system. This role will help support the analysis, development, testing & implementation of the new platform, across the whole spectrum of third-party riskmanagement processes. A core component of the implementation will be the successful delivery of the supplier management functionality in 2024, which will incorporate more »
planning, project planning, re-planning, and inter-projects deployment coordination Establish project meetings in accordance with CLS’ project governance structure Identify and implement change management practices Develop a detailed project plan to monitor and track progress Assist in the definition of project scope and objectives, involving all relevant stakeholders … techniques Manage day-to-day project activities across multiple functional groups Measure project performance using appropriate tools and techniques Track and report project progress Risk and Issue Management Perform riskmanagement to minimize project risks Identify, monitor, report, and coordinate issues and risks remediation Stakeholders Management Manage stakeholders at all levels of the corporation Report and escalate to management as needed Project Resources and Financial Management Ensure resource availability and allocation Meet budgetary objectives and make adjustments to project constraints based on financial analysis Manage project financial to ensure project spending is on more »
Our client, a commodities firm is looking for a Commodities Operational Risk Analyst to join their team in Gibraltar. It would start off as a 12 month FTC. Open to relocation. Your responsibilities will include: Implementation of Operational Risk framework Be a subject matter expertise and insights To … review and improve on existing policies and guidelines to increase riskmanagement awareness Develop initiatives to develop and improve risk controls Risk reports and updates Devise and implement and Enterprise RiskManagement Framework and Risk Control Self Assessments You will need to have … experience of the following: Trading or maritime/bunkering experience Operational risk and control processes ETRM systems Process mapping experience If you would be interested, please do apply for the role and contact Paula at Marlin Selection Recruitment. more »
RISK ANALYST FINTECH UP TO £55,000 LONDON Join an exciting past paced fintech- optimising acquisition credit risk strategies! As a Senior Credit Analyst specializing in Credit Risk Acquisitions, you will be responsible for assessing and analyzing the creditworthiness of potential customers, ensuring a sound riskmanagement framework for new acquisitions. This role requires a deep understanding of credit risk, financial analysis, and regulatory compliance, as well as the ability to make informed recommendations to support business growth while maintaining prudent risk levels. RESPONSIBILITIES Conduct comprehensive credit assessments of potential customers applying … advanced financial modeling and analysis techniques. Evaluate credit risk associated with new acquisitions, considering industry trends, economic factors, and regulatory requirements. Collaborate with cross-functional teams to gather relevant data and insights for accurate risk assessments. Develop and implement credit risk strategies to optimize decision-making in more »
system (ie clearing sub-ledger) Responsibilities Design, develop, and maintain the core infrastructure and systems for our prime brokerage platform, including trade execution, position management, risk monitoring, and reporting modules. Build robust systems for managing the entire trade lifecycle, from order routing and execution to settlement and reconciliation. … in programming languages such as Java, C++, or Python Familiarity with industry-standard technologies and protocols, including FIX protocol, market data feeds, and order management systems. Experience in building and managing distributed systems and high-throughput services Background in real-time transaction processing within trading, riskmanagement, or web2.0 companies (large-scale transaction/event-processing systems: trading systems, riskmanagement systems, pricing systems) Grit, drive and strong feeling of ownership coupled with collaboration and leadership Intuitive, focused, driven, organized, factual and productive; able to break through communication issues and effectively develop relationships with more »
mission to become a disruptor in the FinTech space. The successful candidate will integrate into the broader data team and be integrated within the riskmanagement team. What are we looking for… At our core, we value collaboration and psychological safety. Join us and thrive in an environment … to see the big picture and dive into details as needed. Communication: Ability to communicate concisely, tailoring details to what people need to know. RiskManagement Experience: Previous experience in credit riskmanagement is highly valued but not essential. Get in touch with Joely Callaghan directly more »
I am currently working with a Global, Multi-strat and manager hedge fund in London looking to onboard a a Senior Risk Manager for the Fixed income business. This individual will have a strong investment risk or market risk background overlooking investment or hedge fund trading strategies. … Responsibilities: Managing the day-to-day operations across the risk function incl. Validating margin methodologies, limits setting, Reports/investor reports and analysis of fund performance. Work closely with the portfolio management team, quant researchers, and senior risk managers to add necessary insights to the portfolio construction … and asset allocation process Provide insight regarding drivers of risk movements to senior management and portfolio managers. Work directly with portfolio managers, help understand how they view risk, the strategies and how best to risk manage the portfolios. Work strategically to further develop the riskmore »
Ratios > 1.5 Fundamentals on how markets are priced Systematic Trading Generating Alpha Strong mathematical skills Development and implementation of models used for pricing and riskmanagement, including PL Explain and capital charge Tools. Development and implementation of models used for pricing and riskmanagement, including PL … Proactive in the promotion of new ideas working on the trading desk/systematic desk Development and implementation of models used for pricing and riskmanagement Essential · Top educational background, Masters/Ph.D. in a quantitative subject (e.g. Maths, Physics, Computer Science) Location: NYC + Paris + London more »
companies that are Britain's economic engine - ambitious, entrepreneurially-spirited and high-growth businesses that fuel the economy - and directly advise the owners and management teams that lead them. We'll broaden your horizons Our Advisory team provide a wide variety of services that deliver value-led advice and … our clients' affairs. The team work across strategy, operations and improvement as well as at a transactional and defined project level. From technology to risk advisory, they're experts in following through on top-level instructions and resolving the finer details - all in one straight-forward package. When you … the clients or office based on the needs of the project. The role offers a great opportunity to develop your existing internal controls and riskmanagement knowledge within a national, supportive and close-knit team. High quality training and development will be provided to the successful candidate. We more »
Job Description Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization. ICM’s Counterparty Credit Risk’s objective is to provide integrated “end-to-end” credit underwriting, identification, measurement, management, and monitoring for wholesale credit risk across the enterprise. Within ICM, the CCR Underwriting function provides analysis, greenlight, underwriting, first-line-of-defense credit approval and subsequent credit monitoring across all ICG wholesale … and Advisory (BCMA), Global Structured Products, Financings, and Securitizations (GSP-F&S), Treasury & Trade Services (TTS), Markets, and Securities Services (MSS). The Credit Risk Manager will be part of the global CCR underwriting function, spanning various products including subscription call facilities, Fund Financing, FX, Derivatives, Prime Brokerage, and more »
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 »
working collaboratively with other programme managers and CPG teams, to deliver service improvement projects. The post holder will have expertise in programme and project management, improvement methodology and have a proactive 'can do' approach, be highly motivated and confident in managing challenging and changing workloads. The post holder will … have excellent written and verbal communication skills and will bring a strong customer service approach to their role. The role is responsible for the management and development of DATIX/DCIQ and other safety informatics systems, including monitoring of data quality and reporting and including external reporting of data. … as well as a thorough understanding of the external reporting requirements. The post holder will coordinate the sourcing, implementing and maintenance of other clinical management systems. The post holder will have a strong working knowledge and experience of implementing and managing risk and safety and will provide advice 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 »
on a hybrid basis, paying between circa 70,000 - 80,000 basic plus extras; with a clear progression path in place through to Senior Management and beyond.Oliver James are partnered with a multi-national consulting group to assist in the hiring of a Cyber Security Manager - with deep experience … on a hybrid basis, paying between circa 70,000 - 80,000 basic plus extras; with a clear progression path in place through to Senior Management and beyond.Generally speaking, the Manager role can be extremely broad and rewarding.For example, this means assisting in all aspects of the project lifecycle; from … delivery assurance of cyber engagements * Ability to think strategically and communicate in a business language * Becoming a subject matter expert in various security and riskmanagement domains (e.g., IT riskmanagement, cyber risk, security target operating model, governance, compliance, cyber security maturity assessment, metrics and more »