Permanent Market Risk Job Vacancies

26 to 44 of 44 Permanent Market Risk Jobs

Tech Project Manager - Global Markets

City of London, London, United Kingdom
Crisil
deep expertise in the areas of equity and fixed income research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and management, actuarial analysis and business intelligence. CRISIL GR&A includes Irevna, Pipal Research and Coalition, firms which were acquired by CRISIL. For more information, please visit www.irevna.com … www.pipalresearch.com and www.coalition.com Job Duties We are looking for a talented and experienced project manager in the risk technology space who can provide operational/service leadership and direction to team Planning & coordinating with involved stakeholders. Lead or participate in working groups, workshops and with stakeholders to understand business requirements, define project plans and manage timelines Impart subject matter … processes and controls are socialized effectively and are approved at or by the appropriate governance forum or level Manage internal and external dependencies across initiatives, including working closely with Risk Managers, Product Owners, Front Office and Technology teams Identify challenges and proactively seek to resolve or escalate risk and issues in a timely and well-articulated manner to More ❯
Posted:

Murex Project Manager

London Area, United Kingdom
LevelUP HCS
new projects to the business, take lead of new initiatives, covering notably: Innovative solutions for regulatory reporting/monitoring New business, activities and products Opportunities for efficiency improvements Operational risk reduction New platforms for trading and associated front to back design Reporting : Timely progress updates to direct management as deemed necessary Booking Model documents including DOI’s for the … in the global markets business Fast learner and proactive approach Good communication skills (business oriented and technical oriented) Face off to senior stakeholders in Front Office and control functions – Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and More ❯
Posted:

Murex Project Manager

City of London, London, United Kingdom
LevelUP HCS
new projects to the business, take lead of new initiatives, covering notably: Innovative solutions for regulatory reporting/monitoring New business, activities and products Opportunities for efficiency improvements Operational risk reduction New platforms for trading and associated front to back design Reporting : Timely progress updates to direct management as deemed necessary Booking Model documents including DOI’s for the … in the global markets business Fast learner and proactive approach Good communication skills (business oriented and technical oriented) Face off to senior stakeholders in Front Office and control functions – Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and More ❯
Posted:

Analytics Consultant

London, United Kingdom
MSCI
the associated client relationships. Consultants 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 … partnering with the sales team to provide expertise in client engagements and pre-sales activities. Successful candidates will have a thorough knowledge (or a strong drive to learn) of market risk measurement and management, pricing and valuation of asset types (including equity, fixed income, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to … clients' problems. Your Key Responsibilities Manage relationships within our analytics client base; implement strategic plans to ensure client retention. Proactively engage with clients and provide Best Practices guidance on risk measurement and management. Identify opportunities to increase client usage of our products and identify new users. Work closely with the sales team on potential sales opportunities. Assist in campaigns More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Murex Projects Manager

London, United Kingdom
Natixis NY Branch
in the global markets business Fast learner and proactive approach Good communication skills (business oriented and technical oriented) Face off to senior stakeholders in Front Office and control functions - Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Commodities Application Support

London, United Kingdom
Techwolf
experience. As a member of our team, you will be responsible for supporting the global commodities in-house platform, which is essential for front-to-back functionality, encompassing pricing, risk management, market data sharing, P&L reporting, settlements, physical scheduling, trade confirmations, and regulatory reporting. Qualifications Responsibilities: Proactively monitor the trading systems. Configure the system for optimal performance. … Analyze and resolve production support technical and functional issues. Respond to inquiries from various teams within the bank, including traders, marketers, risk managers, middle office, and back office, keeping them informed of system issues and changes. Log incidents and provide necessary information to the core development team for bug fixes and enhancements. Participate in the first-line support rota … Information This role demands strong problem-solving and communication skills. The analyst will engage directly with multiple teams within the bank, including trading, sales, middle office, back office, confirmations, market risk, and accounting. Therefore, the ability to quickly grasp diverse product and process knowledge will be critical. Functional Skills: Understanding of front-to-back processes. Knowledge of commodities More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Manager, Business Development - Global

London, United Kingdom
Hybrid / WFH Options
Roman Health Pharmacy LLC
a brand-new team of high-performing Account Executives across Europe, APAC, and the Americas. Provide ongoing coaching and mentorship to enhance their sales skills, product knowledge, and regional market expertise Drive Global Sales Training Excellence: Design and implement comprehensive sales training programs tailored for global markets, focusing on all stages of the sales cycle, negotiation techniques, objection handling … where diverse viewpoints are valued, challenges are embraced, and successes are celebrated across different cultures and time zones. Encourage initiative, ownership, and a strong sense of accountability Strategic Global Market Expansion: Work closely with individual contributors to develop and execute strategies for market penetration across Europe, APAC, and the Americas, with a specific focus on identifying and securing … Collaboration: Collaborate extensively with Sales Engineering, Client Success, Marketing, and Product teams globally to ensure seamless client onboarding, effective customer training, and alignment with overall business objectives in each market Risk Management & Continuous Improvement: Proactively seek opportunities to enhance risk management within global sales operations and champion a culture of continuous improvement, both within the team and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Quantitative Trader

London, United Kingdom
DolarApp
leading tech companies and help break down financial borders! What you'll be doing Manage and optimize trading systems: Monitor and execute trades, ensuring alignment with strategic objectives and risk management policies. Seek out opportunities to enhance system performance and drive profitability. Monitor market risk exposure, implement controls, and regularly report on trading performance metrics. Identify anomalies … or potential risk factors, suggesting corrective actions and safeguards. Perform quantitative analysis: Conduct detailed analyses of trading data, market trends, and system performance to inform strategic decisions. Calculate PnL, analyse drivers and trade markouts. Automate trading processes: Develop and implement automated strategies to streamline trading execution, reduce manual intervention, and minimize risk. Assist in coding, testing, and deploying … algorithmic trading models designed to capitalize on market opportunities. Collaborate across functions: Work closely with the Finance, Engineering, and Product teams to enhance wider system functionalities and trading capabilities to enable new product features. Provide analytical support and insights, contributing to strategic discussions and improvements in our Fintech stack. Deliver results-driven solutions: Prioritize initiatives that directly improve profitability More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Data Scientist

London, United Kingdom
Hybrid / WFH Options
Lendable Ltd
Scientist for our team! Ideally, this role will suit someone with a proven background in building models in credit, lending, or other areas of financial services. Lendable is the market leader in real rate risk-based pricing, offering consumers transparency and product assurance at the point of application. Data Science sits at the heart of this USP, developing … the credit risk models to underwrite loan and credit card products.You will experiment with the latest machine learning techniques combined with a rich data repository to build and deploy best-in-market risk models.This role will primarily focus on our UK Cards business, but through team collaboration, you will be exposed to all areas of Lendable. Our … team's objectives The data science team develops proprietary machine learning models combining state-of-the-art techniques with a variety of data sources that inform scorecard development and risk management, optimise marketing and pricing, and improve operations efficiency. Research new data sources and unstructured data representation. Data scientists work across the business in a multidisciplinary capacity to identify More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Regulatory Reporting Implementation Specialist

London, United Kingdom
Hybrid / WFH Options
Suade
interpret and communicate complex regulatory rules (e.g. CRR/IFR in Europe) with experience 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 in regulatory reporting at a regulated firm or as a consultant Deep banking product understanding (Loans, Securities, Derivatives More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Site Reliability Engineer III - Market Risk

United Kingdom
JPMorgan Chase & Co
us as a company, as well as our clients and our business partners around the world. As a Site Reliability Engineer III at JPMorgan Chase within the Corporate Technology - Market Risk, you will solve complex and broad business problems with simple and straightforward solutions. Through code and cloud infrastructure, you will configure, maintain, monitor, and optimize applications and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Risk Management Officer

City of London, London, United Kingdom
Hybrid / WFH Options
IPOE CONSULTING LIMITED
Risk Management Officer International Bank based in the City of London Hybrid working on offer The job holder is responsible for providing risk reporting for the Branchs business activities under the supervision of the Head of Department, which may include the following or other reporting activities deemed relevant: Risk Management Summary, Cashflow mis-match report, Stress test … summary, Corporate bond report, CDS daily monitoring report, LCR daily & monthly report and RDA weekly & monthly report. Other responsibilities will include; Build risk awareness amongst staff by providing support and training across the Branch. Assist in providing administrative operations within the Department working closely with the Head of Department Prepare and complete regular risk management reports, including preparatory … work such as data entry, market rate collection and data reconciliation Ensure the filing of all the regular reports after completion of circulation to the relevant parties.. Improve and make necessary changes on applications (e.g. Excel spreadsheet and Access Database). Plan and implement for the new business supports. Liaise with the relevant departments on activities and information produced. More ❯
Employment Type: Permanent, Work From Home
Salary: £60,000
Posted:

Risk Reporting Officer

City of London, London, United Kingdom
Hybrid / WFH Options
IPOE Consulting
Risk Management Officer International Bank based in the City of London Hybrid working on offer The job holder is responsible for providing risk reporting for the Branch’s business activities under the supervision of the Head of Department, which may include the following or other reporting activities deemed relevant: Risk Management Summary, Cashflow mis-match report, Stress … test summary, Corporate bond report, CDS daily monitoring report, LCR daily & monthly report and RDA weekly & monthly report. Other responsibilities will include; Build risk awareness amongst staff by providing support and training across the Branch. Assist in providing administrative operations within the Department working closely with the Head of Department Prepare and complete regular risk management reports, including … preparatory work such as data entry, market rate collection and data reconciliation Ensure the filing of all the regular reports after completion of circulation to the relevant parties.. Improve and make necessary changes on applications (e.g. Excel spreadsheet and Access Database). Plan and implement for the new business supports. Liaise with the relevant departments on activities and information More ❯
Posted:

Risk Reporting Officer

London Area, United Kingdom
Hybrid / WFH Options
IPOE Consulting
Risk Management Officer International Bank based in the City of London Hybrid working on offer The job holder is responsible for providing risk reporting for the Branch’s business activities under the supervision of the Head of Department, which may include the following or other reporting activities deemed relevant: Risk Management Summary, Cashflow mis-match report, Stress … test summary, Corporate bond report, CDS daily monitoring report, LCR daily & monthly report and RDA weekly & monthly report. Other responsibilities will include; Build risk awareness amongst staff by providing support and training across the Branch. Assist in providing administrative operations within the Department working closely with the Head of Department Prepare and complete regular risk management reports, including … preparatory work such as data entry, market rate collection and data reconciliation Ensure the filing of all the regular reports after completion of circulation to the relevant parties.. Improve and make necessary changes on applications (e.g. Excel spreadsheet and Access Database). Plan and implement for the new business supports. Liaise with the relevant departments on activities and information More ❯
Posted:

Director of Treasury (Collateral Management / Repo)

London, South East, England, United Kingdom
Montpellier Resourcing
fantastic opportunity has arisen for a Treasury Director to join a leading City based Trading House. You will be responsible for all treasury operations, encompassing cash and collateral management, risk management and fostering relationships with clearing members, investment partners, custodians, and banks. This role involves strategic investment and collateral management, and robust financial risk oversight (market, credit … liquidity). The Director drives departmental strategy, stakeholder engagement (board, management, regulators), reporting, data management, and operational risk mitigation. Key Responsibilities of the Treasury Director to include: Oversee daily treasury functions, ensuring accuracy in payments, collateral movements, investments, and reconciliations. Provide operational guidance and support. Building out of the Repo Business and management of settlement processes Lead strategic treasury … financial institutions. Manage and test the default management and business continuity plans. Required Skills and Experience of the successful Treasury Director: Extensive experience in settlements and transaction processing. Strong market knowledge of repo and short-term interest rates. Expertise in financial and operational risk management. Proven leadership and decision-making abilities. Significant experience in treasury or market More ❯
Employment Type: Full-Time
Salary: £160,000 - £190,000 per annum
Posted:

German Speaking Sales Director - Quant / Investment Analytics

London, United Kingdom
Hybrid / WFH Options
Excelsior Search - Capital Markets Fintech Recruitment & Executive Search. Americas - EMEA - APAC
a sophisticated front office investment analytics proposition? Our client is a high growth investment analytics fintech, with a unique solution with very little competition in their area of quantitative risk analytics to analyse, validate and benchmark investment strategies, it's a front office sell to asset managers, pension funds, asset allocators etc. They already have some leading buy side … rewards that come with such a high growth sales career opportunity. So certainly, a great opportunity to 'make the role your own' and reap the benefits of an untapped market to go after! Appropriate applicants will have: Experience selling buy side investment analysis/portfolio analytics/market risk/quantitative/financial engineering type solutions. Ideally … as their first dedicated salesperson for German speaking Europe with a sales pipeline to pick up, really is a great opportunity for a sales professional looking for an untapped market to go after. You'll certainly be able to reap the financial rewards of sales success and career growth satisfaction this entrepreneurial opportunity will bring! Remuneration: Appropriate base salary More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

French Speaking Sales Director - Investment Analytics

London, United Kingdom
Excelsior Search - Capital Markets Fintech Recruitment & Executive Search. Americas - EMEA - APAC
rewards that come with such a high growth sales career opportunity. So certainly, a great opportunity to 'make the role your own' and reap the benefits of an untapped market to go after! Appropriate applicants will have: Experience selling buy side investment analysis/portfolio analytics/market risk management/quantitative/index/investment research … Joining this company at this stage of growth, as their first salesperson for French speaking Europe, really is a great opportunity for a sales professional looking for an untapped market to go after. You'll certainly be able to reap the financial rewards of sales success and career growth satisfaction this entrepreneurial opportunity will bring! Remuneration: Appropriate base salary … side, asset management, investment management, mutual fund, quantitative analysis, investment analysis, portfolio management, investment analytics, index, indices, investment research, portfolio construction, portfolio management, portfolio analysis, portfolio analytics, portfolio optimization, risk management, risk analytics, manager research, market risk, factor models, front office. More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

PM/PMO

Belfast, Northern Ireland, United Kingdom
Hays
requirements, and markets discretional change initiatives. What you will need to succeed: A strong & proven track record in project management and delivering complex solutions is essential. Has experience in Market Risk or Capital Markets Transformation Significant experience in scoping, developing and prioritizing plans for strategic initiatives Excellent verbal and written communication skills, to effectively produce reports, documentation, and More ❯
Posted:

Market Risk Manager

London
Nexus Jobs Limited
Market Risk Manager Our Client is an established Bank ?" who are looking to recruit a Market Risk Manager with at least 5 to 10 years proven expertise. Key member of Bank's Risk team providing support to the Chief Risk Officer with responsibility for ensuring that Market Risk is appropriate and complied … with. Ensures that Market Risk tools in the Bank are fit-for-purpose and provides expert input on all Market Risk issues to the CRO and other stakeholders. Responsibilities Assist in the design of the processes necessary to allow those responsible for primary risk monitoring and management (Line 1) to calculate key performance indicators (KPIs … in accordance with the risk appetite and risk policies approved by the Board of. This will include: Reviewing or defining the methodologies to be followed in calculating KPIs, Reviewing or defining the standards to be used in calculating KPIs, Reviewing or defining the processes and internal controls over these processes to be used in calculating these KPIs and More ❯
Employment Type: Permanent
Posted:
Market Risk
10th Percentile
£80,250
25th Percentile
£90,801
Median
£105,000
75th Percentile
£105,000
90th Percentile
£132,500