Remote Risk Business Analyst Jobs in the UK

10 of 10 Remote Risk Business Analyst Jobs in the UK

Lead Business Analyst, Market Risk

london, south east england, United Kingdom
Hybrid / WFH Options
Noir
Lead Business Analyst, Market Risk - Investment Banking - London (Murex, Market Risk Models, Advanced Analytics, Machine Learning, Regulatory Compliance, Data Integrity, Stakeholder Management) A global financial markets and commodities bank is seeking a Lead Market Risk Business Analyst to join their … market risk capabilities. This high-impact position focuses on delivering scalable market risk solutions across asset classes. You’ll lead business analysis for critical technology initiatives, collaborate with cross-functional teams, drive model and system enhancements, and ensure compliance with global regulatory frameworks. This is … organisation committed to innovation, integrity, and impact. Ideal candidates will have at least 7 years' experience in market risk management with strong business analysis and IT delivery credentials. Familiarity with Murex, advanced analytics, and regulatory frameworks is essential. Exposure to machine learning, data governance, and stakeholder engagement More ❯
Posted:

Lead Business Analyst, Market Risk

slough, south east england, United Kingdom
Hybrid / WFH Options
Noir
Lead Business Analyst, Market Risk - Investment Banking - London (Murex, Market Risk Models, Advanced Analytics, Machine Learning, Regulatory Compliance, Data Integrity, Stakeholder Management) A global financial markets and commodities bank is seeking a Lead Market Risk Business Analyst to join their … market risk capabilities. This high-impact position focuses on delivering scalable market risk solutions across asset classes. You’ll lead business analysis for critical technology initiatives, collaborate with cross-functional teams, drive model and system enhancements, and ensure compliance with global regulatory frameworks. This is … organisation committed to innovation, integrity, and impact. Ideal candidates will have at least 7 years' experience in market risk management with strong business analysis and IT delivery credentials. Familiarity with Murex, advanced analytics, and regulatory frameworks is essential. Exposure to machine learning, data governance, and stakeholder engagement More ❯
Posted:

Lead Business Analyst, Credit Risk

London Area, United Kingdom
Hybrid / WFH Options
Noir
Lead Business Analyst, Credit Risk - Investment Banking - London (FIS Adaptiv, Murex, Java, Credit Risk Modelling, Machine Learning, Java, Regulatory Compliance, Advanced Analytics) Our client, a globally renowned investment bank with a commanding presence in financial markets and commodities trading, is seeking a Lead Credit … Risk Business Analyst to join their cutting-edge Risk Technology division. This is a high-impact role offering the chance to shape critical credit risk solutions that underpin the bank’s strategic operations. You’ll collaborate with technologists, risk managers … where your expertise will influence global risk strategy. Ideal candidates will have deep credit risk domain knowledge and experience leading business analysis initiatives in complex financial environments. Familiarity with FIS Adaptiv or Murex, Java-based systems, and credit risk modelling is essential. Exposure More ❯
Posted:

Lead Business Analyst, Credit Risk

london, south east england, United Kingdom
Hybrid / WFH Options
Noir
Lead Business Analyst, Credit Risk - Investment Banking - London (FIS Adaptiv, Murex, Java, Credit Risk Modelling, Machine Learning, Java, Regulatory Compliance, Advanced Analytics) Our client, a globally renowned investment bank with a commanding presence in financial markets and commodities trading, is seeking a Lead Credit … Risk Business Analyst to join their cutting-edge Risk Technology division. This is a high-impact role offering the chance to shape critical credit risk solutions that underpin the bank’s strategic operations. You’ll collaborate with technologists, risk managers … where your expertise will influence global risk strategy. Ideal candidates will have deep credit risk domain knowledge and experience leading business analysis initiatives in complex financial environments. Familiarity with FIS Adaptiv or Murex, Java-based systems, and credit risk modelling is essential. Exposure More ❯
Posted:

Lead Business Analyst, Credit Risk

slough, south east england, United Kingdom
Hybrid / WFH Options
Noir
Lead Business Analyst, Credit Risk - Investment Banking - London (FIS Adaptiv, Murex, Java, Credit Risk Modelling, Machine Learning, Java, Regulatory Compliance, Advanced Analytics) Our client, a globally renowned investment bank with a commanding presence in financial markets and commodities trading, is seeking a Lead Credit … Risk Business Analyst to join their cutting-edge Risk Technology division. This is a high-impact role offering the chance to shape critical credit risk solutions that underpin the bank’s strategic operations. You’ll collaborate with technologists, risk managers … where your expertise will influence global risk strategy. Ideal candidates will have deep credit risk domain knowledge and experience leading business analysis initiatives in complex financial environments. Familiarity with FIS Adaptiv or Murex, Java-based systems, and credit risk modelling is essential. Exposure More ❯
Posted:

Lead Business Analyst, Credit Risk (, , United Kingdom)

United Kingdom, UK
Hybrid / WFH Options
Noir
Lead Business Analyst, Credit Risk - Investment Banking - London (FIS Adaptiv, Murex, Java, Credit Risk Modelling, Machine Learning, Java, Regulatory Compliance, Advanced Analytics) Our client, a globally renowned investment bank with a commanding presence in financial markets and commodities trading, is seeking a Lead Credit … Risk Business Analyst to join their cutting-edge Risk Technology division. This is a high-impact role offering the chance to shape critical credit risk solutions that underpin the bank’s strategic operations. You’ll collaborate with technologists, risk managers … where your expertise will influence global risk strategy. Ideal candidates will have deep credit risk domain knowledge and experience leading business analysis initiatives in complex financial environments. Familiarity with FIS Adaptiv or Murex, Java-based systems, and credit risk modelling is essential. Exposure More ❯
Posted:

Risk Business Analyst

London Area, United Kingdom
Hybrid / WFH Options
HSBC
Equities and Prime Intraday Risk Management Business Analyst Rate: Inside IR35 via Umbrella company - £899.03 Location: London – Hybrid – 3 days in the office Duration: 6 months Role Summary: This role involves supporting HSBC's Equities and Prime Financing business lines, including Cash Equities, Equity Derivatives … correct designs and solutions being delivered to the Equities and Prime Financing Risk Managers. Work closely with other Equities and Prime Financing Business Analysts in other programs e.g. the Equities demise programmes, to ensure best practice is established and any opportunity for reusing approaches/data is … with timely and accurate communication of the challenges and issues that are encountered. Knowledge and Experience: Essential Experience Bachelor's or equivalent University degree. Business Analyst experience (at least 5 years’ relevant experience in Global Markets Risk & PnL environment), ideally in Equities but cross-asset also More ❯
Posted:

Risk Business Analyst

london, south east england, United Kingdom
Hybrid / WFH Options
HSBC
Equities and Prime Intraday Risk Management Business Analyst Rate: Inside IR35 via Umbrella company - £899.03 Location: London – Hybrid – 3 days in the office Duration: 6 months Role Summary: This role involves supporting HSBC's Equities and Prime Financing business lines, including Cash Equities, Equity Derivatives … correct designs and solutions being delivered to the Equities and Prime Financing Risk Managers. Work closely with other Equities and Prime Financing Business Analysts in other programs e.g. the Equities demise programmes, to ensure best practice is established and any opportunity for reusing approaches/data is … with timely and accurate communication of the challenges and issues that are encountered. Knowledge and Experience: Essential Experience Bachelor's or equivalent University degree. Business Analyst experience (at least 5 years’ relevant experience in Global Markets Risk & PnL environment), ideally in Equities but cross-asset also More ❯
Posted:

Risk Business Analyst

slough, south east england, United Kingdom
Hybrid / WFH Options
HSBC
Equities and Prime Intraday Risk Management Business Analyst Rate: Inside IR35 via Umbrella company - £899.03 Location: London – Hybrid – 3 days in the office Duration: 6 months Role Summary: This role involves supporting HSBC's Equities and Prime Financing business lines, including Cash Equities, Equity Derivatives … correct designs and solutions being delivered to the Equities and Prime Financing Risk Managers. Work closely with other Equities and Prime Financing Business Analysts in other programs e.g. the Equities demise programmes, to ensure best practice is established and any opportunity for reusing approaches/data is … with timely and accurate communication of the challenges and issues that are encountered. Knowledge and Experience: Essential Experience Bachelor's or equivalent University degree. Business Analyst experience (at least 5 years’ relevant experience in Global Markets Risk & PnL environment), ideally in Equities but cross-asset also More ❯
Posted:

Risk Business Analyst (London Area)

London, UK
Hybrid / WFH Options
HSBC
Equities and Prime Intraday Risk Management Business Analyst Rate: Inside IR35 via Umbrella company - £899.03 Location: London – Hybrid – 3 days in the office Duration: 6 months Role Summary: This role involves supporting HSBC's Equities and Prime Financing business lines, including Cash Equities, Equity Derivatives … correct designs and solutions being delivered to the Equities and Prime Financing Risk Managers. Work closely with other Equities and Prime Financing Business Analysts in other programs e.g. the Equities demise programmes, to ensure best practice is established and any opportunity for reusing approaches/data is … with timely and accurate communication of the challenges and issues that are encountered. Knowledge and Experience: Essential Experience Bachelor's or equivalent University degree. Business Analyst experience (at least 5 years’ relevant experience in Global Markets Risk & PnL environment), ideally in Equities but cross-asset also More ❯
Posted:
Risk Business Analyst
10th Percentile
£62,750
25th Percentile
£70,625
Median
£90,000
75th Percentile
£105,000