51 to 75 of 144 Market Risk Jobs in the UK

VP – Liquidity & Market Quantitative Model Risk

Location
Greater London, England, United Kingdom
London | Hybrid working (2 days per week in office) A globally significant financial markets organisation is looking for a technically strong risk professional to join its Liquidity and Market Risk team. This is not a traditional liquidity reporting role. It is a hands‐on position focused … stress testing, model ownership, validation‐style testing and detailed analysis of model algorithms, code and data. The role would suit someone from a model risk, model validation, model governance or quantitative consulting background who enjoys getting into the technical detail. The role You will help manage and monitor ...

Emerging Markets Risk Manager

Hiring Organisation
Paragon Alpha - Hedge Fund Talent Business
Location
London Area, United Kingdom
leading Tier 1 Hedge Fund client is looking to hire an Emerging Markets Risk Manager to join its London-based Investment Risk team, partnering directly with Portfolio Managers across its growing Emerging Markets business. This is a highly front-office aligned role where you'll provide independent challenge … portfolio construction, risk-taking and capital allocation while helping optimise risk-adjusted returns. Key Responsibilities Partner with Emerging Markets Portfolio Managers on portfolio construction and investment risk. Challenge positioning, concentration, liquidity, leverage and risk-taking decisions. Monitor portfolio exposures across EM Rates, FX, Sovereign & Corporate Credit ...

Front Office Pricing Quant - Rates Modelling

Location
Greater London, England, United Kingdom
C++. This role sits within the front office quant team, supporting traders and structurers through the design and implementation of robust pricing and risk models for a wide range of rate derivatives. Key Responsibilities Develop, implement, and maintain pricing models for rates products (e.g., swaps, swaptions, futures, structured rates … Work closely with traders and structurers to provide real-time pricing and risk analytics Calibrate models using market data and ensure alignment with market conventions Contribute to the enhancement of pricing libraries and analytics infrastructure in Python and C++ Perform testing, validation, and documentation of models ...

Capital Actuary

Location
Greater London, England, United Kingdom
Pension Insurance Corporation ("PIC") provides secure retirement incomes through comprehensive risk management and excellence in asset and liability management, as well as exceptional customer service. Our purpose is to pay the pensions of our current and future policyholders. PIC is recruiting for a Capital Actuary to play … part of PIC’s Finance Department, the Capital team is responsible for maintaining and developing the frameworks, methodologies and models that support PIC’s risk and capital management capabilities. The team ensures these remain appropriate for PIC’s business strategy and risk profile, while delivering high-quality analysis ...

Senior Software Engineer (Fixed Income Risk System)

Location
Greater London, England, United Kingdom
Developer within Fixed Income Derivatives Technology group. Our team works closely with Interest Rates Sales & Trading and Quantitative Strategists team to develop next generation risk and trading systems to achieve their business goals. A successful candidate would work on one of the world's largest Scala projects and gain … future technology solutions. Develop large-scale distributed systems to compute and report intra-day and eod-of-day risks, PnL (Profit and Loss) and market scenarios to senior management, trading desks, controllers, and market risk department. Greenfield project to redesign pricing and workflow applications for sales ...

Python Software Engineer

Location
Greater London, England, United Kingdom
development experience across backend services, APIs, databases, and modern frontend frameworks. Experience designing and maintaining data pipelines and integrations, including APIs, SFTP, and structured market or portfolio datasets. Experience leading small-to-medium scale software projects with high accountability and ownership. Exposure to financial markets, including FX and interest … communicating complex technical and financial concepts to both technical and non-technical stakeholders. Eligible to work in the UK. Preferred Qualifications Experience with financial risk management software or platforms. Experience in market data integration, trade lifecycle systems, or portfolio analytics. MSc degree in a STEM field. Understanding ...

Lead Technical Program Manager - Risk Technology

Hiring Organisation
JP Morgan Chase
Location
London, UK
Employment Type
Full-time
Risk Technology provides the firm with a suite of applications and processes to manage risk across a number of areas/pillars, including Market Risk, Wholesale Credit Risk, Asset Wealth Management Risk and Climate & Nature Risk. As a cross-pillar leader in Program Governance … Management, you will have the opportunity to both define and drive a variety of strategies and project deliveries. You'll work directly with the Risk Technology leadership to identify and prioritize projects that serve the best interest of the risk division. To drive cross-pillar Project Execution ...

Lead Technical Program Manager - Risk Technology

Location
Greater London, England, United Kingdom
Risk Technology provides the firm with a suite of applications and processes to manage risk across a number of areas/pillars, including Market Risk, Wholesale Credit Risk, Asset Wealth Management Risk and Climate & Nature Risk. As a cross-pillar leader in Program Governance … Management, you will have the opportunity to both define and drive a variety of strategies and project deliveries. You'll work directly with the Risk Technology leadership to identify and prioritize projects that serve the best interest of the risk division. To drive cross-pillar Project Execution ...

Risk Manager

Location
Greater London, England, United Kingdom
Risk Manager | London | Up to £150k + Bonus + Equity I'm working with a rapidly growing financial technology firm that is building modern infrastructure for global capital markets. They're looking to hire an experienced Prime Brokerage Risk Manager into their London team. This is a highly … visible position covering global markets and multi-asset portfolios, combining quantitative risk management with significant client exposure. You'll have the opportunity to influence how the firm develops its risk framework and technology as the business continues to scale. What you'll be doing: Managing risk across ...

Lead Technical Program Manager - Risk Technology

Location
Greater London, England, United Kingdom
Risk Technology provides the firm with a suite of applications and processes to manage risk across a number of areas/pillars, including Market Risk, Wholesale Credit Risk, Asset Wealth Management Risk and Climate & Nature Risk. As a cross-pillar leader in Program Governance … Management, you will have the opportunity to both define and drive a variety of strategies and project deliveries. You'll work directly with the Risk Technology leadership to identify and prioritize projects that serve the best interest of the risk division. To drive cross-pillar Project Execution ...

AVP Front Office Market Risk - Hedge Fund Financing

Location
Greater London, England, United Kingdom
State Street Markets seeks a Market Risk Analyst to oversee real-time risk across Securities Financing activities, including Prime Brokerage and Securities Lending. You will monitor hedge fund portfolios, assess collateral sufficiency, and influence risk-based decisions in a fast-paced environment. The role requires 3+ … years in Prime Brokerage or Margin Risk Management, strong knowledge of hedge fund risk across multiple strategies, and the ability to communicate effectively with front‐office #J-18808-Ljbffr ...

EAME Crude Market Risk Advisor — Exposure & VAR Insights

Location
Greater London, England, United Kingdom
ExxonMobil in London seeks a Trading Market Risk Analyst to support EAME Crude desks, monitor risk, and advise on VaR, PnL, and exposure. You will work alongside traders, apply risk analytics, and help with hedging options and risk limits. The role combines data analysis, governance … collaboration across regions. The ideal candidate has a quantitative degree and experience in energy trading or risk management, with strong communication skills. #J-18808-Ljbffr ...

Global Market Risk Analyst — Credit Desk & P&L Insights

Location
Greater London, England, United Kingdom
BBVA in London is seeking a risk analyst for the Global Market Risk Unit (GMRU) focused on the Credit Desk. You will monitor and calculate risk metrics across Global Credit and Credit Solutions initiatives, collaborating with Front Office and Risk teams to control limits ...

Quantitative Risk Analytics Engineer

Location
Greater London, England, United Kingdom
Goldman Sachs is seeking a Software Engineer within the Core Engineering division in London. The role focuses on market risk analytics and reporting for Market Risk Analytics & Reporting (A&R). You will contribute to scalable risk data workflows, ETL processes and visualization tools … support risk metrics for senior management and regulators. Candidates should have a quantitative degree, strong programming skills in Python and SQL, and experience with data visualization tools such as Tableau, #J-18808-Ljbffr ...

Client Director - Risk Solutions | Financial Services

Location
Greater London, England, United Kingdom
track record selling to the Financial Services (CRO organisation in banks focused on IB, Commercial and Retail Space; with special focus on model risk, risk technology and analytics; trading and structuring desks of banks and stock exchanges) "C" suite including trusted long-held and valued relationships, and proven … above-mentioned types of organisations in the Financial Services industry. Proven experience in meeting or exceeding multi-million-dollar quotas selling solutions to risk focused divisions in banks as described above. Strong knowledge of regulatory requirements relevant to financial institutions, including familiarity with frameworks and standards such as credit ...

Funds Counterparty Credit Risk Associate – Market Risk

Location
Greater London, England, United Kingdom
Goldman Sachs Bank AG in London seeks an Associate for Risk, Counterparty Credit Risk - Funds. You will evaluate derivatives and financing transactions, assess credit strength of hedge funds, funds, and private equity portfolios, approve transactions, and participate in risk mitigation and regulatory discussions. The role requires … Bachelor's in business or finance (CFA advantageous), 3–6 years in market-facing or risk roles, and strong knowledge of capital markets, derivatives, and funding #J-18808-Ljbffr ...

Risk Technology Data Analyst

Location
Greater London, England, United Kingdom
Risk Technology Data Analyst will be a key member of the Risk Management Technology team, contributing to the development and enhancement of risk systems. This role offers an opportunity to work with a dynamic team, utilizing cutting-edge technologies to manage and mitigate risks across the enterprise. … Responsibilities Collaborate with Risk Management to gather and analyze requirements for risk systems. Build and enhance data analysis processes, including asset valuations and custom measure calculations. Present data using visualization tools, creating clear and concise reports. Create documentation for internal and external stakeholders, ensuring compliance with regulatory standards. ...

Risk Technology Data Analyst

Hiring Organisation
Cantor Fitzgerald
Location
London, UK
Employment Type
Full-time
Risk Technology Data Analyst will be a key member of the Risk Management Technology team, contributing to the development and enhancement of risk systems. This role offers an opportunity to work with a dynamic team, utilizing cutting-edge technologies to manage and mitigate risks across the enterprise. … understanding of statistical and machine learning concepts. Experience with DevOps Solutions, particularly Git and Jira, is essential. Desirable skills include experience with Credit and Market Risk, MCSI/Risk Metrics, and ETL tools like Pentaho/Hitachi Vantara. Knowledge of Risk Management, Margin, and Fund Accounting ...

Director, Quantitative Data Operations

Location
Greater London, England, United Kingdom
2119124## ## Job Description:**The Position:**Quantitative Research and Investments (QRI) is seeking a highly motivated data expert in the domain of portfolio risk analytics to lead a Risk Platform Operations team responsible for ensuring that all vendor and internal portfolio risk analytics used for risk management and portfolio construction across Fidelity are delivered consistently, accurately and on a timely basis.The Risk Platform Operations team are the stewards of risk analytics data for Fidelity Asset Management. They focus on quality control of all data that feeds into portfolio risk analytics, including security ...

Applied AI ML Director, Risk Management & Compliance

Location
Greater London, England, United Kingdom
Summary Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help the firm grow its business in a responsible way by anticipating new and emerging risks, and using your expert judgement … solve real-word challenges that impact our company, customers and communities. Our culture in Risk Management and Compliance is all about challenging the status quo and striving to be best in class. Job Description Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance ...

SRE Market Risk Analyst

Location
United Kingdom
Barclays seeks a Market Risk Analyst‐SRE to monitor and maintain its critical technology infrastructure and resolve complex issues with minimal disruption to operations. You will analyse logs, tune monitoring thresholds, and implement preventative measures to ensure system resilience. You will collaborate with cross‐functional teams, lead investigations … when needed, and contribute to risk governance while driving continuous improvement. #J-18808-Ljbffr ...

Quantitative Data Developer

Location
Greater London, England, United Kingdom
Imagine, a global leader in trading and risk management SaaS-based software, is seeking a Quantitative Data Developer to join our Models and Quantitative Data team in our London office! As a Quantitative Data Developer, you will play a pivotal role in discovering, designing, developing, and maintaining data solutions … construction of quantitative datasets (e.g., curves, volatility cubes, correlation matrices). You will also contribute to the development of robust data-driven systems for market risk calculations (e.g., VaR, greeks) in real-time across all asset classes. Our cutting-edge risk and data solutions are trusted ...

Quantitative Developer

Location
Greater London, England, United Kingdom
Imagine, a global leader in trading and risk management SaaS-based software, is seeking a Quantitative Developer to join our Models and Quantitative Data team in our London office! As a Quantitative Developer, you will design, develop, and test sophisticated models to value financial positions, construct quantitative datasets (e.g. … curves, volatility cubes, correlation matrices), and calculate market risk metrics (e.g., VaR, greeks) in real-time across all asset classes. Our cutting-edge risk and pricing models are trusted by some of the world’s most prestigious financial institutions, including global investment banks and multi-strategy hedge ...

Business Systems Analyst

Location
Greater London, England, United Kingdom
Analytics Group.* Support for our FIS Quantum & TBSM applications within our Production Support Group.The **Treasury Analytics Group**is responsible for measurement and management of market risk (interest rate and foreign exchange) for the Bank's retail portfolios. The team develops financial models and processes required for measuring, transfer … profitability, and financial management reporting. The Treasury Analytics Group is embarking on a brand new initiative to build the next generation strategic platform for risk, valuations and analytics to meet the growing and future needs of the department. This is an exciting opportunity to work on cutting edge technologies ...

Lead Software Engineer (XVA) - VP

Hiring Organisation
Citigroup
Location
London, UK
Employment Type
Full-time
high-impact domain. You will work alongside high-calibre engineers and engaged business partners to architect, build, and deliver solutions that redefine how XVA risk is calculated and managed globally. ResponsibilitiesDesign, build, and maintain scalable, high-performance software solutions for XVA risk systems, writing and reviewing production-quality … technology projects with confidence, managing timelines, dependencies, and stakeholder expectations while keeping the engineering team focused and unblocked. Translate complex business requirements from Risk, Operations, and Technology partners into clear functional specifications, well-structured solution designs, and working software. Drive Agile delivery practices across cross-functional and distributed teams ...