Permanent Financial Institution Jobs

126 to 150 of 219 Permanent Financial Institution Jobs

Senior Solution Analyst (Financial Institutions) - X Delivery

Madrid, Spain
Boston Consulting Group
the bold and disruptive products, services, and businesses of tomorrow. Practice Area Profile What You'll Do You will be a part of the Financial Institutions Data Tribe, a global and virtual team focusing on data analysis and financial modelling. We support BCG's transaction banking products for … Proven research and database management and analysis capabilities Understanding of the payments and the transaction banking industry Fluency in Spanish highly desired Peers across Financial Institutions' data assets to execute and deliver the findings Senior counterparts for directions, best practices, and overall guidance BCG consulting teams, BCG Partners and more »
Employment Type: Permanent
Salary: EUR Annual
Posted:

Senior Director, Head of Markets and Execution Services, Market Risk, and Credit Risk Audit

New York, United States
BNY Mellon
stakeholders. The individual in this role will have a strong knowledge of audit, risk management, risk and control frameworks, and regulatory expectations at large financial institutions. In this role, you will make an impact in the following ways: Plan and execute audits of Markets and Executions Services, Market and … provide access to flexible global resources and tools for your life's journey. Focus on your health, foster your personal resilience, and reach your financial goals as a valued member of our team, along with generous paid leaves that can support you and your family through moments that matter. …/team performance, and market factors. For over 230 years, the people of BNY Mellon have been at the forefront of finance, expanding the financial markets while supporting investors throughout the investment lifecycle. BNY Mellon can act as a single point of contact for clients looking to create, trade more »
Employment Type: Permanent
Salary: USD Annual
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Model Risk Quantitative Analyst

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
Who are we? We are not your typical financial institution. It’s our people who make us a cut above. Here, every person is respected because of their differences, not in spite of them. We pride ourselves on a culture of purpose, passion and compassion. At Mizuho, we provide … MHBK,MBE and MHI on Treasury, structured, fixed incomeand derivatives positions. Work on quantitative issues and projects, particularly pertaining to valuation, risk calculations and financial modelling for Credit, IR, FX and Inflation derivatives across MHBK, MBE and MHI. Building Python and VBA script to automate the model revalidation process … or C#, although skills in other languages such as C++, Java, VB.net would be considered. Expert Excel skills including VBA Experience/knowledge of financial markets, products, methodologies and financial analytics including an understanding of the key concepts of Interest Rate, FX and Inflation curve building, derivative instrument more »
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Senior Manager/Manager - FRTB Policy & Governance

London Area, United Kingdom
CRISIL Limited
Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns. Globally, we provide Financial Risk (Model Risk … Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services. Over the past two decades, we have served more than 200 institutions and over 10,000 stakeholders across banks and asset managers, pioneering the launch of new services in the process. Our consultative approach … related to risk management is important, including Basel III, Dodd-Frank, and other regulations. High level of attention to detail is critical when analyzing financial data and assessing risk Excellent communication and documentation skills to coordinate with business and technology stakeholders and team members Exposure to Python & SQL is more »
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Market Abuse Surveillance Business Analyst

Greater London, England, United Kingdom
Hybrid / WFH Options
ComplyLens Limited
Company Description ComplyLens Limited is a financial services consulting firm based in London. We specialise in supporting financial institutions implement technology changes to address regulatory requirements, including controls for Trade Surveillance, Communication Surveillance and Record Keeping, AML Transaction Monitoring, as well as Sanctions screening. Role Description This is … degree in business, finance, economics, computer science, or a related field. At least 4 years of experience in regulatory compliance, or technology in the financial services industry. MUST HAVE - Knowledge of regulatory requirements related to surveillance and monitoring for Market Abuse as well as Record keeping rules for financial more »
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Senior Software Engineer

London, England, United Kingdom
Ripple
where value moves like information does today. It's big, it's bold, and we're already doing it. Through our crypto solutions for financial institutions, businesses, governments and developers, we are improving the global financial system and creating greater economic fairness and opportunity for more people, in more »
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Africa & Middle East Region Head - Private Credit - Financial Institutions & Fintech

England, United Kingdom
DWM
Africa & Middle East Region Head – Private Credit – Financial Institutions & Fintech Introduction: Do you want to make a difference and contribute to creating a better world? Are you interested in developing your skills and knowledge, while putting your ideals to work? Join us, we are a frontrunner in global impact … like you to make change happen. DWM is at the forefront of a global effort to create investible solutions to meet the social and financial needs of the developing world. DWM structures transactions that open doors to the international capital markets for inclusive financial institutions and other socially … the social goals served by their transactions. For more information please visit our website: http://www.dwmarkets.com. Title: Region Head – Africa & Middle East – Financial Institutions & Fintech Reporting Line: Head of Private Credit The Role: You will join Developing World Markets’ (DWM) Private Debt team and have responsibility for more »
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Risk, Model Validation Quant, AVP

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
Who are we? We are not your typical financial institution. It's our people who make us a cut above. Here, every person is respected because of their differences, not in spite of them. We pride ourselves on a culture of purpose, passion and compassion. At Mizuho, we provide … and MHI Treasury, structured and derivatives positions. • To provide subject matter expertise in quantitative issues and projects, particularly pertaining to valuation, risk calculations and financial modelling for IR, FX and Inflation derivatives across MHBK and MHI. • Develop, implement and support new and existing in-house financial analytical models … or Finance. Relevant professional qualifications/experience will also be considered. • Experience in Model Validation and Model life-cycle management. • Experience/knowledge of financial markets, products, methodologies and financial analytics including an understanding of the key concepts of IR, FX and Inflation curve building, derivative instrument pricing more »
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Sales Account Manager - OFSAA

United Kingdom
Oracle
This vacancy is for Oracle Financial Services Software, a separate company and majority-owned subsidiary of Oracle Corporation. Oracle Financial Services Global Business Unit (FSGBU) is a world leader in providing IT solutions to the financial services industry. Oracle’s customers include ten of the top ten … mutual fund companies and four of the top five World stock exchanges. With the experience of delivering value-based IT solutions to over 840 financial institutions in over 130 countries, the FSGBU understands the specific challenges that financial institutions face: the need for building customer intimacy and competitive … have the world's most comprehensive and contemporary banking applications and provide a technology footprint that addresses their complex IT and business requirements Oracle Financial Services Analytical Applications (OFSAA) Suite of products that is geared to address the Finance, Risk Data Management and Financial Crime technology landscape today more »
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Quantitative Researcher

City of London, London, United Kingdom
CMC Markets UK Plc
CMC Markets strives to provide the best trading experience for a wide spectrum of clients to participate in the financial markets. In order to expand this team, we are looking for an experienced Senior Quantitative Analyst to join our fast-growing Derivatives team. The right candidate will have responsibility … teams. This is an excellent opportunity to be sitting in the core of the business and develop a deep understanding of the Market Making financial industry. Key responsibilities: Review and offer critical thinking around the existing model suite. Proposing modifications and improvements and supervising/coordinating the implementation of … experience. An interest for academic research around Options, Volatility and more broadly Derivatives. Between 3 and 5 years of relevant experience in a comparable financial institution. Strong knowledge of general financial products and derivatives. Understanding of market microstructure. Strong skills in Excel and Python, SQL and time-series more »
Employment Type: Permanent
Posted:

Product Owner, Fixed Income Pricing - Asset Management FinTech

London Area, United Kingdom
Hybrid / WFH Options
Tempest Vane Partners
the most exciting FinTech businesses in the City with a clear goal to become the first choice trading technology provider with asset managers and financial institutions alike, across the derivatives trading market. The teams are highly collaborative with excellent cross-company communication, and you are trusted to work autonomously … to learn and develop your skills. They pay market leading compensation, including a lucrative commission scheme and annual discretionary bonus with ongoing opportunities for financial advancement. They offer a hybrid office and working from home model. They offer benefits including pension, healthcare, life insurance, 26 days holiday, 10 further … finance related role Advanced degree in a quantitative field such as mathematics, statistics or quantitative finance. Knowledge of developer workflows and an understanding of financial products and analytics. Knowledge of Fixed Income products and Credit Derivatives is preferred. Exceptional attention to detail, analytical and problem-solving skills. Clear communication more »
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Quantitative Analyst, Credit Derivatives - Asset Management FinTech

London Area, United Kingdom
Hybrid / WFH Options
Tempest Vane Partners
the most exciting FinTech businesses in the City with a clear goal to become the first choice trading technology provider with asset managers and financial institutions alike, across the derivatives trading market. The teams are highly collaborative with excellent cross-company communication, and you are trusted to work autonomously … to learn and develop your skills. They pay market leading compensation, including a lucrative commission scheme and annual discretionary bonus with ongoing opportunities for financial advancement. They offer a hybrid office and working from home model. They offer benefits including pension, healthcare, life insurance, 26 days holiday, 10 further more »
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Treasury Manager (German & English)

London Area, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and analyze … cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis and more »
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Treasury Manager (German & English)

Swindon, England, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and analyze … cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis and more »
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Treasury Manager (German & English)

Greater Bristol Area, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and analyze … cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis and more »
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FIG M&A | Analysts & Associates | Asset & Wealth Management M&A | London

London Area, United Kingdom
Selby Jennings
My Client, a leading global investment banking and financial advisory firm, is seeking a talented and driven M&A Senior Analysts and Associates specialising in FIG M&A in the asset and wealth management sectors to join their team in London. If you have a strong background in the … financial industry, specifically within FIG and the asset and wealth management sectors, we want to hear from you. Candidates with a background in other Financial Institutions Group (FIG) sectors will also be considered. Responsibilities: Lead and execute M&A transactions within the asset and wealth management sectors, including … financial analysis, due diligence, valuation, and deal structuring. Develop and maintain financial models to evaluate potential deals and perform comprehensive analysis of investment opportunities. Conduct industry research and market analysis to identify potential targets and opportunities for clients. Collaborate with cross-functional teams, including legal, compliance, and tax more »
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Senior Associate, Credit Solutions

London Area, United Kingdom
LIQUiDITY Group
Liquidity Group is the largest tech-enhanced financial asset management firm in the world. With $2.5B AUM across funds focused on North America, Asia-Pacific, Europe, and the Middle East, Liquidity Group operates globally with offices in Tel-Aviv, Abu Dhabi, New York, London, Singapore, Tokyo, Mumbai, Boston & San … the fastest-growing provider of non-dilutive and equity financing to mid-market and late-stage companies. Liquidity Group is backed by leading global financial institutions including Japan’s largest bank, MUFG, Spark Capital, and Apollo Asset Management. About the Role We are looking for highly motivated credit professionals … to-end deal cycle, while gaining exposure to a variety of different products and client verticals. As a Senior Associate, you will drive innovative financial solutions for technology businesses in the growth stage of their development cycle. You are competitive and excited to have artificial intelligence on your side more »
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Lead Java Developer – Finance

London Area, United Kingdom
Hybrid / WFH Options
Runtime Group Ltd
Lead Java Developer – Finance A Lead Java Developer is required to join a leading provider of financial technology solutions, specializing in lending and Asset Finance. Their innovative software platforms empower financial institutions worldwide to streamline their lending processes, mitigate risk, and accelerate growth. As a dynamic and forward … collaborate closely with cross-functional teams to deliver high-quality, scaleable, and reliable software that meets the evolving needs of our clients in the financial sector. The ideal candidate will have a strong background in Java development, along with expertise in software architecture, design patterns, and financial technologies. … Spring, Hibernate, Spring Framework, including Spring Boot, Spring MVC, Spring Data Solid understanding of software architecture principles, design patterns, and best practices. Experience with financial technologies and lending software solutions is highly desirable. Familiarity with relational databases (SQL, Oracle, etc.) and NoSQL databases (MongoDB, Cassandra) is a plus. Excellent more »
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Business Analyst - Market Data Analytics (Yield Curve)

London Area, United Kingdom
CRISIL Limited
Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns. Globally, we provide Financial Risk (Model Risk … Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services. Over the past two decades, we have served more than 200 institutions and over 10,000 stakeholders across banks and asset managers, pioneering the launch of new services in the process. Our consultative approach more »
Posted:

Senior Developer Advocate

London, England, United Kingdom
Ripple
where value moves like information does today. It's big, it's bold, and we're already doing it. Through our crypto solutions for financial institutions, businesses, governments and developers, we are improving the global financial system and creating greater economic fairness and opportunity for more people, in more »
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UNPAID VOLUNTEER - Senior Research Officers (Sustainable Finance)

United Kingdom
Blockchain & Climate Institute
for more than 30% of emissions when considering embedded carbon Economic Value: Real estate is a significant asset class (recall the 2008/9 financial crisis originated from USA subprime mortgages) Climate & Transition Risks: Buildings are particularly exposed to climate risks, both transition and physical Sustainable Development Goals and … Energy and Transport (e.g. Electric Vehicles charging at home or at work) The credentials of candidates should include: Working knowledge of major guidelines for financial institutions to assess climate risks and opportunities such as the TCFD Recommendations (Task Force on Climate-Related Financial Disclosures). Working knowledge of … Investors, Exchanges, Asset Managers, Regulators), Risks Assessment, New Regulations (e.g. Basel III/IV). Working knowledge of important Sustainable Finance standards. This includes financial products such as Fixed Income (ICMA Green Bonds Principles, ISO 14030), Equities (SASB, GRI), EU Taxonomy Working knowledge of Digital Data Technologies (e.g. Internet more »
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Risk Analyst

England, United Kingdom
Botsford Associates
Botsford Associates is seeking a quantitative analyst/risk modeler with 5 - 8 years of financial industry experience to join the Risk Analytics team. Focus of this position is on Market Risk modeling for equity derivatives products. This role is based in the UK. MUST HAVE: Strong modeling experience … models and methodologies (e.g. time series analysis, VaR methodologies and backtesting), with 5 - 8 years of previous experience in a quantitative role at a financial institution. Solid understanding of equity pricing models and exotic equity derivative products. Strong programing skills and data handling skills in SQL and Python (ability more »
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Counterparty Risk Analyst – Assistant Vice President

London, England, United Kingdom
BNP Paribas
more than 196,000 employees, including around 149,000 in Europe. The Group has key positions in its three main activities: Domestic Markets, International Financial Services (whose retail-banking networks and financial services are covered by Retail Banking & Services) and Corporate & Institutional Banking, which serves two client franchises … CCR) team is responsible to provide an independent view and analysis of key counterparty risks. The team sits within RISK - MFI Platform (Markets and Financial Institutions) – MI (Management Information). The team is based in London and maintains a global scope. It interacts closely with other MI teams in … supporting optimal decision-making. As such, the team maintains an associated governance framework including métiers, RISK MFI and RISK Corporate comprising recurring committees from Financial Market Risks Committee (“FMRC”) to Main Positions meetings. The team also contributes to group-wide internal management information, including the Comité de Contrôle Interne more »
Employment Type: Finance
Posted:

Relationship Development Executive - Front Office & Treasury

Greater London, England, United Kingdom
Coalition Greenwich (a division of CRISIL)
and data to the capital and commodity markets worldwide. About Coalition Greenwich: Coalition Greenwich is a leading analytics and business intelligence provider to the financial services industry. Our clients include Corporate and Investment Banks, Asset Managers, and Fintechs. We specialize in providing unique, high-value, actionable information to help … the UK. The ideal candidate is passionate about leverage and developing relationships and uncovering insights in the finance industry with respect to Corporates and Financial Institutions. As a Relationship Development Executive, you will work as part of a centralized team in cultivating relationships with senior buy-side professionals, buy … and written communication skills, as well as the ability to be persuasive with buy-side clients are critical to the success of this role; financial markets knowledge is essential. Principal Responsibilities : Arrange and conduct interviews with financial executives at pre-selected Corporates and Institutions Represent Coalition Greenwich to more »
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UK Credit Compliance Manager

London, England, United Kingdom
PayPal
At PayPal (NASDAQ: PYPL), we believe that every person has the right to participate fully in the global economy. Our mission is to democratize financial services to ensure that everyone, regardless of background or economic standing, has access to affordable, convenient, and secure products and services to take control … of their financial lives. Job Description Summary: PayPal is seeking a dynamic, innovative, and driven Credit Compliance Manager to join our high-performing UK Risk and Compliance team, reporting to the Credit Compliance Lead. The role contributes to the sustainable growth of PayPal’s Credit business in the UK … a champion for positive customer outcomes and provide a demonstrable understanding of Consumer Credit Risk assessment and measurement. Basic Qualifications 7+ years in the financial industry or equivalent with proven experience in compliance leadership roles for regulated/consumer Credit portfolios. Experience with the UK regulators and the regulatory more »
Employment Type: Legal
Posted:
Financial Institution
10th Percentile
£41,250
25th Percentile
£58,750
Median
£76,250
75th Percentile
£105,000
90th Percentile
£130,000