Remote Permanent Risk Management Jobs in London

1 to 25 of 142 Permanent Risk Management Jobs in London with Remote Work Options

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 more »
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Risk, Model Validation Quant, AVP

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Quantitative Risk team (QR) is part of the EMEA Risk Management team. The QR team is split into the Model Risk Management team (MR) and the Risk Analytics team (RA). MR and RA teams span both MHBK and MHI responsibilities. The Quantitative Risk Analyst role sits within the Model Risk Management team (MR). On the MHBK and MHI sides, the MR team are responsible for … producing independent and accurate model validations and conducting effective model risk management, including appropriate interactions with the trading desk and the overall risk management teams. The MR team is responsible for recording the MHI model life cycle in Archer Model Risk Management system of more »
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Model Risk Quantitative Analyst

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
influence and base of knowledge as part of one of the largest—and growing—banks in the world. What is the opportunity? The Quantitative Risk team (QR) is part of the EMEA Risk Management team. The QR team is split into the Model Risk Management team (MR) and the Risk Analytics team (RA). MR and RA teams span both MHBK and MHI responsibilities. The Quantitative Risk Analyst role sits within the Model Risk Management team (MR). On the MHBK and MHI sides, the MR team are responsible for … producing independent and accurate model validations and conducting effective model risk management, including appropriate interactions with the trading desk and the overall risk management teams. The MR team is responsible for recording the MHI model life cycle in Archer Model Risk Management system of more »
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Senior Prudential Risk Analyst

London Area, United Kingdom
Hybrid / WFH Options
Oxbow Resourcing
Senior Prudential Risk Analyst Hybrid role- Mix of office and home working Base office location can be either- London, Milton Keynes or Wilmslow Reports To: Head of Operational and Enterprise Risk Direct Reports: One Permanent/Full-time Are you a dynamic and analytical risk professional interested … in a joining a growing UK bank? Oxbow Resourcing is hiring on behalf of a challenger bank for a Senior Prudential Risk Analyst to join this forward-thinking Risk Management team. Based in the office hubs of London,Milton Keynes or Wilmslow, this role offers a unique … opportunity to shape the risk landscape of this bank. If you like a mix of office working with regular team meets and catch ups and home working then this role offers the perfect working environment for you. This bank are committed to creating an inclusive environment where every team more »
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Technlogy Risk Governance Manager

London Area, United Kingdom
Hybrid / WFH Options
Lorien
Role Title: Technology Risk Governance Manager Department: CIO Technology Location: London/Hybrid About the Role: The Technology Risk Governance Manager will be responsible for leading and managing our 1st line of defence Technology risk framework and strategy. The role will involve the identification, assessment, monitoring, and … and change related Technology risks, as well as ensuring the effective implementation and operation of controls. Working as part of the Technology Strategy, Planning & Risk Governance team, you will work closely with business & technology leadership to drive our risk management practices and outcomes. You will work as … part of a virtual, global Technology Risk Governance team and will lead a team of Technology Risk Analysts. Your stakeholders will include Technology, Business Change Delivery, Risk, Compliance and Audit functions across our regions in LATAM, UK, Europe & APAC. In this role, you will support the Insurance more »
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Head of Risk & Compliance

London Area, United Kingdom
Hybrid / WFH Options
Bell Integration - Driving Digital Transformation
Overview The Head of Risk and Compliance will oversee all aspects of risk management, owning an enterprise-wide risk management framework within the Bell SI business. They will be responsible for Bell’s internal audit function, ensuring ISO certifications are maintained as well as ensuring … leading a team and working with key stakeholders within the business to ensure that the organisation remains compliant and has a positive approach to risk management. They will also be responsible for developing the ESG and CSR capabilities within Bell SI, and implementing policies and processes that ensure corporate … all required internal audits are completed as necessary to ensure compliance to Bell’s ISO certifications (9001, 27001, 45001, 14001). Day to day management of HSEQ Lead, Quality & Information Security Audit Lead and Compliance & Audit Administrator. Work with the Executive Board to build corporate objectives to support the 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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Quantitative Portfolio Strategist

Greater London, England, United Kingdom
Hybrid / WFH Options
Nickel Digital Asset Management
Company Overview Nickel Digital Asset Management is an FCA-authorised, London-based investment manager. We specialise in managing multi-manager funds in both digital asset and traditional finance markets. Nickel has been recognised for its top-performing funds, which leverage advanced systematic quantitative trading strategies and real-time risk management systems. Our commitment to superior returns through incentive-compatible structures is matched by our dedication to integrity and innovation in financial engineering. With a team of industry experts, we strive for excellence in every aspect of our operations. Position Overview We are seeking an exceptional Quantitative Strategist … manager fund. This fund boasts an excellent track record, a robust stable of outstanding portfolio managers, and is backed by high-performance execution and risk management systems. The Strategist will be instrumental in working with the fund’s investment committee to allocate capital allocations to a portfolio of more »
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Cyber Risk Manager

London, United Kingdom
Hybrid / WFH Options
Deloitte
and one another in ways not previously conceived.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 … make and action we take, guiding us to deliver impact how and where it matters most.Connect to your opportunityWe are seeking an experienced Cyber Risk Manager to join our Cyber risk management and reporting team. As a Cyber Risk Manager, you will play a crucial role … in managing and mitigating cyber risks within Deloitte Technology. Your responsibilities will include defining key risk indicators, building dashboards to provide cyber risk insights, and collaborating with BISOs to identify, assess, and manage cyber risks within their service lines. You will actively govern cyber risks in the Deloitte more »
Salary: £ 70 K
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Risk Manager Oversight (Payments)

London Area, United Kingdom
Hybrid / WFH Options
Nationwide Building Society
strategic aims, value to our Members and engage colleagues around new ways of working. At the same time, we are investing in the Operational Risk Oversight team in the second line of defence. We are increasing the capacity, seniority, and capability of the team to ensure we are able … to continue to add customer value by investigating, challenging, and influencing across the Society. This role within the Operational Risk Oversight team will be accountable for. providing real-time advice and oversight for payments activity on an end-to-end basis from horizon scanning for regulatory developments, supporting compliance … with regulatory change through to oversight of ongoing compliance and operational risk management. providing independent assessment of risk and controls to ensure the Society remains within risk appetite. This is vital to ensure that Nationwide achieves its strategic ambitions, remains compliant and does the right thing for more »
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Risk Business Partner (Wealth Management)

City Of London, England, United Kingdom
Hybrid / WFH Options
Rev & Regs
Rev & Regs are recruiting for an Operational Risk Business Partner position for a dynamic and well-renowned Financial Services company in the City of London. The Risk Business Partner will be instrumental to assuring the effective implementation, development, and maintenance of the businesses Risk Management Framework. … oversight, you will impart advice, support, resource, and knowledge about important and cross-cutting risks. Responsibilities: Act as a dedicated 2nd line of defence Risk Business Partner to support 1st line management in implementing and embedding the Group’s risk management framework. Monitor and report upon … ensuring that potential issues are identified, escalated, and managed quickly and appropriately. Act as a focal point and escalation route for business colleagues; driving risk management culture and behaviours through regular interactions with people across the organisation. Understand the business risk profile and key processes for diverse more »
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Senior Operational and Prudential Risk Manager

City Of London, England, United Kingdom
Hybrid / WFH Options
Hays
A leading international bank is looking for a Senior Risk Manager to join its UK operations initially on a 6-month full-time contract, with a view to going permanent. This is a key role leading the enhancement of the bank's overall Operational Risk Management Framework … as well as providing oversight on Prudential Risk matters. The successful candidate will report directly to the Deputy Chief Risk Officer. Responsibilities: Update the Operational Risk Management Policy and the Risk Registers Report on Operational risk incidents and related MI Support the Deputy CRO … in preparing prudential risk, including Pillar III, ICAAP and ILAAP Prepare regulatory reports for the PRA and the parent bank, in addition to oversight on capital and liquidity returns Convene the Risk Management Committee of the Retail arm of the bank Prepare and review the Risk more »
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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 ensuring … 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 more »
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Senior Quant - Risk Manager & Researcher

London Area, United Kingdom
Hybrid / WFH Options
Barclay Simpson
If you’re a self-motivated Risk Manager & Researcher; with a very strong quantitative background, plus experience of risk managing systematic investment strategies ; we’d love to hear from you. Our client is an active investment management firm who have an exciting opportunity for a Quantitative Risk … with intellectual curiosity and an interest in working in Quantitative Research within a collaborative environment and be involved with research and development of new risk analytics. Key Responsibilities: Monitor and manage risk and work with all areas within the business to resolve risk issues as they arise … Assist in building out the broader risk framework and analytical infrastructure – including internal risk models and code Conduct research into new risk measurement and management techniques Further develop the risk management framework and broaden awareness and good risk culture across all functions Reporting more »
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Analytics Consultant

Greater London, England, United Kingdom
Hybrid / WFH Options
MSCI Inc
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 to multi asset class portfolios and partnering with the sales team to provide expertise in client engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixed income, commodities … analytics; hold advanced client trainings/workshops; present in seminars Specific Knowledge/Skills Very strong analytical skills in regard to simulation techniques for risk management, factor modelling, portfolio management and performance attribution; experience with Barra or RiskMetrics models and software a plus. Deep understanding of global more »
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Director - Quantitative Developer

London, United Kingdom
Hybrid / WFH Options
Barclays
QA) is a global organisation of highly specialized quantitative modellers and developers. QA is led by Shu-Wie Chen, who is a member of Risk Exco.QA is responsible for developing, testing, implementing and supporting quantitative models for valuation and risk management of traded assets, regulatory and economic … capital, impairments, fraud detection, asset-liability management, operational risk, net revenue and balance sheet forecasting, and stress testing across Barclays Group.About QA MarketsThe QA Markets team is responsible for the research, development and implementation of quantitative models used by the Global Markets business. The team’s modelling work … products, and commodities. The team also provides all modelling required for the equity and fixed income financing business and for the capitalization of market risk and counterparty credit risk. QA Markets works very closely with our business partners, providing expert knowledge and a suite of analytics tools and applications more »
Salary: £ 70 K
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Asset Manager : BESS/Energy Storage

London Area, United Kingdom
Hybrid / WFH Options
Mint Selection
they are looking for a reliable and professional asset manager to support its significant growth. You should be ambitious and articulate with: - Strong asset management background and technical expertise - Demonstrable experience with renewable infrastructure (wind, solar, hydro or BESS, CCGT, etc) - Experience with Contract/Contractor Management, Risk Management, HSQE, Optimisation and Performance Management In return, you will receive a competitive base salary, strong bonus incentive, private healthcare and a lucrative long term management incentive plan. Please reach out to Charlie Nott at Mint Selection for more details. C.nott@mintselection.com/… Response, Hydrogen Production & Storage, Cleantech, Demand Response/Flexibility, Transmission & Distribution, Electric Vehicles and Vehicle Infrastructure. Core areas we support include Renewable Energy Investment Management, Energy Project Finance, Structured Finance, M&A, Renewable Energy Project Development, Construction, Operations, Engineering, Commercial Management, Procurement, Asset Management, Portfolio Performance, Risk more »
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Senior Risk Manager (Liquidity Risk)

City Of London, England, United Kingdom
Hybrid / WFH Options
Hays
Your new company Avery well respected International/Foreign Bank within central London is seekinga Senior Risk Manager to sit within their Risk team, with a particular focus onLiquidity Risk. This role will report directly to the head of risk and offers ahybrid working environment. Your new … role Sittingwithin the second line, this role has a focus on liquidity risk, ALM andenterprise risk within the bank. Responsibilities will include assisting theHead of Risk on the management, and mitigation of the banks risks as well asassisting in ILAAP, ICAAP and other regulatory responsibilities includingPillar … and Basel. Producing Management Information for committee meetings andother wider risk responsibilities will also be included in this role. What you'll need to succeed To be successful inthis role you should have Minimum 5 years in risk management within the financial services, ideally in a more »
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Control Testing Specialist

London Area, United Kingdom
Hybrid / WFH Options
HSBC
Chief Controls Office. The successful candidate will work collaboratively across HINV with stakeholders from multiple functions, to execute controls testing and provide assurance to risk owners. The Control Testing Specialist will need to have a good understanding of risk management tools, techniques and concepts, as well as … best outcome for the organization versus individual achievement The Controls Testing Specialist will be responsible for: Execution of control testing across a range of risk areas. Documentation of control testing outcomes in line with HSBC Risk Management Framework requirements. Feeding back the outcomes of control testing to … Control Owners. Supporting the Senior Business Risk Managers by providing insight into the controls they are aligned to. Supporting Risk Owners by providing thematic analysis of control strength based on assurance activities. Using analytical skills understand the themes within the control environment to drive insight and recommendations for more »
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Control Testing Specialist

London Area, United Kingdom
Hybrid / WFH Options
HSBC
Hybrid Role Purpose: This role is to work collaboratively across HINV with stakeholders from multiple functions, to execute controls testing and provide assurance to risk owners. The Control Testing Specialist will need to have a good understanding of risk management tools, techniques and concepts, as well as … specialist knowledge of Control Testing governance structures and frameworks. Key Accountabilities: Execution of control testing across a range of risk areas. Documentation of control testing outcomes in line with HSBC Risk Management Framework requirements. Feeding back the outcomes of control testing to Control Owners. Supporting the Senior … Business Risk Managers by providing insight into the controls they are aligned to. Supporting Risk Owners by providing thematic analysis of control strength based on assurance activities. Using analytical skills understand the themes within the control environment to drive insight and recommendations for control improvement. Ensuring a strong more »
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Project Control Manager

London Area, United Kingdom
Hybrid / WFH Options
Scantec Recruitment
000pa - £80,000pa + car allowance + competitive benefits package Type: Award Winning Consultancy (Hybrid working) Your expertise in project controls, planning, and management will be utilised to ensure the successful delivery of complex client projects, they provide programme and project management, cost and commercial management, risk management and advisory services to a portfolio of prestigious clients. Key Responsibilities: Lead and mentor a team of project controls professionals, fostering a collaborative and high-performing culture. Deliver project controls services, taking responsibility for end-to-end service delivery, relating to large, complex and mega projects. Manage … and providing proactive mitigation plans. Generate comprehensive reports and dashboards, presenting project status and insights to stakeholders. Requirements: This include relevant technical degree and management qualifications. Professional experience undertaking project control roles for the development and/or delivery of construction projects. Demonstrating strong leadership skills. Good understanding of more »
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Treasury Senior Consultant (Balance Sheet Risk Frameworks)

London Area, United Kingdom
Hybrid / WFH Options
Nationwide Building Society
Treasury Senior Consultant (Balance Sheet Risk Frameworks) Salary: From £65,000 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 … 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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Manager, Operating Model Transformation - Capital Markets: Risk & Controls, Consulting

London, United Kingdom
Hybrid / WFH Options
Deloitte
team together on a regular basis to share.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 client’s become leaders wherever they choose to compete. … Manager in Operating Model Transformation - Capital Markets, you will work on complex and challenging projects within the Capital Markets industry with a focus on risk and controls. You will have the opportunity to learn and grow by using the practice’s sophisticated tools and methodologies, whilst having the opportunity … and learn from some of the top practitioners in our firm.To be successful in this role, you will need to have had exposure to risk & control project work and/or risk frameworks, so that you can translate your findings into tangible solutions.You should also be able to more »
Salary: £ 70 K
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Programme Director - IRRBB

London, United Kingdom
Hybrid / WFH Options
HSBC Group
interest rate and FX risks that results from the banking book activity. We are undertaking a substantial programme of transformation in our Interest Rate Risk in the Banking Book (IRRBB) function across first and second line, operational and technological capabilities, supporting multiple business outcomes. This will drive increased sophistication … in our capabilities in risk management and oversight, working in close collaboration with other Treasury functions across strategic objectives and in delivering the business and technological architecture that will support them. This will involve substantial investment over a multi-year period, requiring strong programme delivery leadership. The IRRBB … Programme Director will drive the delivery across outcomes to enhance and optimise our IRRBB management capabilities.In this role, you will:• Support the Global Treasury Interest Rate Risk in the Banking Book (IRRBB) and Strategy Execution & Control teams, by managing the end-to end programme delivery for IRRBB.• Engaging more »
Salary: £ 70 K
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IT Project Manager

London Area, United Kingdom
Hybrid / WFH Options
CLS Group
planning, project planning, re-planning, and inter-projects deployment coordination Establish project meetings in accordance with CLS’ project governance structure Identify and implement change management practices Develop a detailed project plan to monitor and track progress Assist in the definition of project scope and objectives, involving all relevant stakeholders … techniques Manage day-to-day project activities across multiple functional groups Measure project performance using appropriate tools and techniques Track and report project progress Risk and Issue Management Perform risk management to minimize project risks Identify, monitor, report, and coordinate issues and risks remediation Stakeholders Management Manage stakeholders at all levels of the corporation Report and escalate to management as needed Project Resources and Financial Management Ensure resource availability and allocation Meet budgetary objectives and make adjustments to project constraints based on financial analysis Manage project financial to ensure project spending is on more »
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Risk Management
London
10th Percentile
£51,250
25th Percentile
£62,188
Median
£77,500
75th Percentile
£97,500
90th Percentile
£115,000