Risk Manager Jobs in London

1 to 25 of 44 Risk Manager Jobs in London

Quant Manager - Market Risk

City of London, London, United Kingdom
Mazars
looking for open, engaged and collaborative teams? Then apply to the role today! About the team Due to the continued growth of our FS Risk Consulting Department, we are looking for a Market RiskQuantitative Manager to join the Quantitative Finance Team based in London. You will mainly interact … delivery of client engagements, making sure the project is delivered within the agreed timeline and budget. What are we looking for? Experience in Market Risk IMA FRTB preferred. Model development quant role to design, prototype and document an FRTB-IMA application for Equity and FX products. Market data algorithms … e.g. backfilling algorithms), Non-Modellable Risk Factors. PLAT test Strong experience in Python, R and SAS. About Forvis Mazars Forvis Mazars is a leading global professional services network. The network operates under a single brand worldwide, with just two members: Forvis Mazars LLP in the United States and Forvis more »
Employment Type: Permanent
Posted:

Head of Equity Investment Risk / Snr Risk Manager

London Area, United Kingdom
Hybrid / WFH Options
Janus Henderson Investors
and purpose align with your own, we would love to hear from you! Your opportunity We are seeking an experienced Head of Equity Investment Risk/Senior Risk Manager with a specialization in Equities to join our dynamic Investment Risk team. This role is pivotal in … identifies, evaluates, and mitigates investment risks effectively, contributing to our commitment to deliver outstanding results to our clients. You will: Use a variety of risk models and expert judgement based on market conditions to assess the risks of portfolios and engage with Portfolio Managers to help improve risk adjusted returns and manage downside risk Design and analyse risk attribution reports for use by the Portfolio Managers, Senior Management, and other teams e.g. Marketing and Compliance Cover all aspects of investment risk, performance and other relevant metrics to ensure portfolios are managed in the client more »
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Treasury Risk Manager (Balance Sheet Risk Frameworks)

London Area, United Kingdom
Hybrid / WFH Options
Nationwide Building Society
As a member of the Treasury Framework team, you’ll be working in one or more of the following areas: liquidity and funding risk; capital risk; and Interest Rate Risk in the Banking Book (IRRBB). You’ll be working alongside other Treasury colleagues and product teams … as having the opportunity to get involved in Nationwide’s stress testing and contingency planning. The Framework & Modelling team are responsible for maintaining our risk frameworks and risk appetite across liquidity & funding risk, interest rate risk, capital risk and pension risk. This includes recommending risk … ensure we can keep pace with developments, both in terms of market dynamics and regulation, which requires a constant reassessment of our approach to risk management. At Nationwide we offer hybrid working wherever possible. More rewarding relationships are supported through our hybrid approach, bringing colleagues together across our UK more »
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Technology Risk Manager

London Area, United Kingdom
Lutine Bell
I am currently supporting a leading Life Insurance provider who are currently seeking a Group Technology Risk Manager to join their team. Group Technology Risk Manager (Second line) Multiple base locations available (2-3 days per week in office) Technology risk management, auditing or similar … qualification would be beneficial but is not essential (i.e. CRISC, CISA, CISSP). Risk & Control Framework Qualification in technology risk management, auditing or similar qualification would be beneficial but is not essential (i.e. CRISC, CISA, CISSP) If this does sound of interest please apply and we will be more »
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Information Technology Risk Manager

London Area, United Kingdom
Paritas Recruitment
A Commodities House is looking to hire an IT Risk Manager with SQL skills into their team to focus on building and developing their risk applications This application will be used by the Front Office, so experience facing off to stakeholders in this space will naturally come … as a benefit. We are seeking individuals with experience working in IT Risk and who have knowledge of areas such as market risk, pricing, risk calculations, greeks, ideally in the commodities space but asset classes will also be considered coupled with this. Knowledge of SQL is essential. more »
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Senior Risk Manager

London Area, United Kingdom
Infinity Quest
Delivery IT Senior Risk Manager, ASP & MENAT Knowledge & Experience/Qualifications : Track-record of developing and implementing risk controlling & monitoring standards and controls. Strong risk awareness on identification, mitigation and control. Extensive track-record of leading multi-disciplined teams to deliver exceptional customer service and value. more »
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Quant Manager - Market Risk

London, England, United Kingdom
Mazars
looking for open, engaged and collaborative teams? Then apply to the role today! About the team Due to the continued growth of our FS Risk Consulting Department, we are looking for a Market RiskQuantitative Manager to join the Quantitative Finance Team based in London. You will mainly interact … delivery of client engagements, making sure the project is delivered within the agreed timeline and budget. What are we looking for? Experience in Market Risk IMA FRTB preferred. Model development quant role to design, prototype and document an FRTB-IMA application for Equity and FX products. Market data algorithms … e.g. backfilling algorithms), Non-Modellable Risk Factors. PLAT test Strong experience in Python, R and SAS. About Forvis Mazars Forvis Mazars is a leading global professional services network. The network operates under a single brand worldwide, with just two members: Forvis Mazars LLP in the United States and Forvis more »
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Quant Risk Manager

City Of London, England, United Kingdom
Quant Capital
Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant Market Risk Manager to join our high profile client. Our client is a well-known major global exchange. We are looking for a Risk Manager to shape risk management practice at one of the largest futures and options clearing houses in the world. This sits within the Commodities Risk Team. You will be joining a very dynamic team, be exposed to a wide range of asset classes and be challenged … with complex risk problems. You will be responsible for managing all aspects of the day-to-day risk management and drive improvement and enhancements, including identifying, developing and overseeing the implementation of new risk management tools and techniques to enhance the risk management process and risk more »
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Credit Risk Manager, Vice President

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Risk Management Department at Mizuho International is responsible for delivering an independent assessment of the risks taken across all the trading and origination activities of … the Company, and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the Company's risk appetite and capacity of resources, in agreement with the Company's Board and Mizuho Securities. The department is led by the … Chief Risk Officer and is made up of the following teams: Market Risk Management Credit Risk Management Operational Risk Management Regulatory & Liquidity Risk Management Model Risk Management Risk Analytics Risk Reporting What will you be doing? • Primary credit risk management responsibilities more »
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Performance and Risk Manager

London Area, United Kingdom
Thames Freeport
Performance and Risk Manager - Thames Freeport The Role: Reporting to the Head of Programmes, the Performance and Risk Manager is responsible for ensuring that all performance and risk issues relating to the delivery of Thames Freeport’s programmes and projects, especially seed capital, are being … as monitoring the delivery of critical programmes across Thames Freeport. A key element of this role is reporting and providing assurance performance, financial and risk to the Thames Freeport Board and General Purposes and Resources Sub-committee. Key Responsibilities: Support the Head of Programmes to develop and manage an … close working relationships with DLUHC and the Accountable Body in so doing. Skills and Experience: Proven portfolio or programme management knowledge and experience – planning, risk assessment, dependency management. Able to work across organisational boundaries - creating collaboration and alliances between private and public sectors and multiple stakeholders. Experience of designing more »
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Third Party Risk Manager

London Area, United Kingdom
Paritas Recruitment
Third Party Risk Manager – Financial Services Are you interested in joining a global financial services group as a Third-Party Risk Manager? You will lead remediation efforts for Procurement and Supplier management, aligning with the firm's Global Strategic Operational Resilience Road Map. Conduct gap analysis more »
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Senior Consultant/Manager, Market Risk, Traded & Quantitative Risk

London, United Kingdom
Hybrid / WFH Options
Deloitte
Basic informationLocationLondonService lineRisk AdvisoryDate published17-Apr-2024Req #14846Job descriptionConnect to your IndustryMarket Risk is one of the major risk types in Financial Institutions, primarily the Capital Markets division of banks but also in other FI’s who trade and consequently need to manage risk in their portfolios. … Market Risk Capital amounts to anywhere from 15% to 25% of a bank’s total capital requirement. The drivers of market risk and the process to calculate and manage this risk is complex.As we expand our Risk Advisory business to more holistically include all risk types, the focus on Market Risk increases. With the always important regulations for Market Risk, FRTB and the client-driven demand to support them in these deliverables is also driving an increasing need for these skills.Connect to your career at DeloitteDeloitte drives progress. Using our vast range more »
Salary: £ 70 K
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Alternative Asset Credit Risk Manager - (Hedge Fund, Private Equity & IFO) - Vice President

London, England, United Kingdom
Jobleads-UK
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 credit businesses including Banking, Capital Markets, 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 structured lending. Candidate should have more »
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Technology Risk Manager

London Area, United Kingdom
Hybrid / WFH Options
Gresham Hunt
Technology Risk Manager Up to £75,000 + Package London, United Kingdom (Hybrid Working) Gresham Hunt are currently seeking an experienced tech/cloud risk professional for a leading financial services client to join growing their Groupwide Technology Risk team in London. You will be tasked … as bringing new ideas and methodologies to a team that is facing a changing regulatory environment. The successful candidate will have: Extensive experience within Risk Management within the Financial Services industry. Experience in IT and Cloud controls testing is essential. Knowledge/experience with major cloud service providers, preferably more »
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Market Risk Manager - Mandarin Speaking

Greater London, England, United Kingdom
Saxton Leigh
long history of success across the global market, that have offices based in the City. THE RESPONSIBILITIES: Develop and maintain the Bank’s market risk management policy suite for traded and non-traded market risk; Provide directional guidance on market risk framework and policy requirements Coordinate the … annual refresh of the market risk appetite and/or risk limits for UK entities, working with the first line of defence and/or HO counterparts and providing independent and effective challenge to the first line of defence input in the process as appropriate. Carry out the … market risk day-to-day 2LOD activities (e.g. 2LOD oversight, monitoring, etc) or ad-hoc exercise; Provide directional advisory and independent second line of defence oversight on the effectiveness of the market risk management activities in the first line of defence. Provide market risk 2LOD input in more »
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Risk & Controls Manager

London Area, United Kingdom
Astrum Search
Risk & Controls Manager - EMEA Global Media London 2-3 x per week £60,000 - £70,000 Astrum Search is working with a global media business to recruit a Risk & Controls Manager. The role is based in London and will work across the EMEA region. This is a … across the region through training, support and advising on relevant topics such as internal controls, anti-bribery & corruption, and internal policies. Act as a risk & control subject matter expert across the EMEA region. Support the design and implementation of financial, operational and compliance controls in line with the Group … guidance for specific areas of change/strategic importance that require controls implementation to enable on-going success. Coordinate and oversea internal control and risk management processes (control self-assessment etc). Skills & Experience: Previous experience in industry or professional services in risk & controls, internal/external audit more »
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Institutional Operational Risk Program Manager

London, England, United Kingdom
Fisher Investments
Job Description The Opportunity: Quality Control and Risk Management PM plays a crucial role in protecting the firm, Fisher Investments Institutional Group (FIIG), and our clients by monitoring and mitigating risk associated with regulatory obligations, internal policies and procedures, and contractual obligations. This role is also critical to … the regulatory environment which changes quite often and our modernization efforts. You will be reporting to the Vice President of Institutional Quality Control and Risk Management. The Day-to-Day: Create and maintain policies and procedures for both internal and external use Work with Legal and Compliance to identify more »
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Risk & Compliance Construction Manager

Greater London, England, United Kingdom
CONSULTYS
will work in a stimulating environment, with a lot of opportunities for your professional and personal development. Job Summary We are seeking an experienced Risk & Compliance Construction Manager to join our team. This role will ensure the safety and regulatory compliance of construction projects within highly regulated environments … to stakeholders and senior management. Collaborate with contractors, suppliers, and other stakeholders to ensure project safety. Provide leadership in the management of compliance and risk assessment processes. Lead the development of standardized global quality plans, policies, processes, and systems to ensure continued compliance with external and internal regulatory requirements. more »
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Manager, CFO Advisory-Accounting & Reporting (US), Risk Advisory

London, United Kingdom
Hybrid / WFH Options
Deloitte
and listed businesses. Joining our team will provide great opportunities to work on transactions, where we work closely and seamlessly with other teams in Risk Advisory and across Deloitte, to help our clients as they address a wide range of disruptive events – including IPO, M&A, regulatory change and … technology transformation.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 clients become leaders wherever they choose to compete. To do this, we invest in outstanding … assessment, including gap analysis and bridge planningBe involved in a variety of US related transactions across EMEA, the emerging markets and globallyPerforming top down risk assessment and controls gap assessment to monitor operational effectiveness and support clients deliver remediation activitiesProviding seamless joined up expert advice and assistance alongside other more »
Salary: £ 70 K
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AVP Portfolio Risk Manager Project Finance/Infrastructure

City of London, London, United Kingdom
cer Financial Ltd
AVP Portfolio Risk Manager Project Finance/Infrastructure City of London/Hybrid 2/3 split Contract until March 2025 £350 - £400 per day cer Financial are working alongside a diverse exciting international bank who are based in the City of London. They are seeking a Portfolio … Risk Manager to oversee a portfolio of project finance loans on a contract. The role of AVP exists to manage a portfolio of Project Finance Loan transactions of a complex nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades and … as KYC, documentation and covenant compliance but the overriding job is to have credit vigilance of the portfolio. . The Responsibilities of a Portfolio Risk Manager Will Include: Support senior staff as part of the Exposure Management team in managing a portfolio of accounts, undertaking credit analysis work more »
Employment Type: Contract
Rate: From £350 to £400 per day
Posted:

Risk Manager

London, United Kingdom
Hybrid / WFH Options
JAM Recruitment Ltd
Role: Risk Manager Location: London (hybrid working) Salary: £60,000 - £85,000p/a A well established and ever-growing company are seeking a Risk Manager to join their team working within the Infrastructure sector. The Role… As a Risk Manager, you'll be … threats, opportunities and issues within large scale projects. Whilst working closely with the project controls team to help produce and present fit for purpose risk reports. You … To succeed in the role as a Risk Manager you will need sufficient experience within EVM/EVA and IT … tangible benefits such as commitment to your development, both in terms of your skills and career progression. To apply for the position of a Risk Manager, please send your CV via the 'Apply Now' button. more »
Employment Type: Permanent, Work From Home
Salary: £60,000
Posted:

Risk Advisory Controls Senior Manager

London, United Kingdom
Hybrid / WFH Options
BDO
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 risk management knowledge within a national, supportive and close-knit team. High quality training and development will be provided to the successful candidate. We work … space. We work with clients to design and build their internal controls and also provide assurance of their existing control framework. As a Senior Manager you will be responsible for delivering multiple assignments of high complexity and variety. You will work closely with and support more senior members of more »
Employment Type: Work From Home
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Risk & Compliance Manager - Financial Promotions

City of London, London, United Kingdom
Claremont Consulting
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 more »
Employment Type: Permanent
Salary: £55,000
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Operational Risk Manager - AVP/VP - Capital Markets

London Area, United Kingdom
RAW Search
Join this fantastic team as an Operational Risk Manager and play a crucial role in enhancing my clients risk management practices. As a key member of the risk management team, you will be responsible for overseeing operational risk activities and ensuring compliance with regulatory standards. … Key Responsibilities: Support the Head of Enterprise Risk Management in performing oversight and challenge on enterprise risk activities. Act as the relationship manager for Operational Risk, providing guidance and support to stakeholders in embedding the operational risk framework. Ensure consistent risk management practices across … the organization by providing guidance and support for the effective operation of the operational risk framework. Oversee the operational risk lifecycle activities, including risk identification, assessment, reporting, and monitoring. Collaborate with stakeholders across the organization to provide support and constructive challenge on operational risk and control more »
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Manager, Risk and Regulatory Change Delivery Team, FS Risk Advisory

London, United Kingdom
Hybrid / WFH Options
Deloitte
Basic information Location London Service line Risk Advisory Date published 27-May-2024 Req # 15913 Job description Connect to your IndustryWorking across the financial services industry we support clients across all aspects of risk and regulatory transformation from the early stages of helping evaluate how change will … and implementing the change to ensure sustainability.Connect to your career at Deloitte Deloitte 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 clients become leaders wherever they choose to compete. To … take, guiding us to deliver impact how and where it matters most.Connect to your opportunity Working with clients and stakeholders to support and deliver risk and regulatory transformation engagements and programmes of work. This will require liaison across a range of internal and client stakeholders, identifying potential issues and more »
Salary: £ 70 K
Posted:
Risk Manager
London
10th Percentile
£42,875
25th Percentile
£67,238
Median
£75,000
75th Percentile
£87,500
90th Percentile
£118,000