RISK QUANT DEVELOPER Summary Capitalab, a division of BGC Brokers, is looking for highly talented, quantitative, energetic, confident, delivery-oriented quantitative analysts to work within the Capitalab front-office development team, which is split across London, Singapore and Toronto. Group Description The Capitalab division is a quantitative financial technology … and tools (ex. Gurobi or NAG) Development experience in Python Web development experience in JAVA and Angular Familiarity with financial mathematics, derivative pricing and risk management Appreciation of good software architecture including design patterns & SOLID principles Experience with unit test frameworks, mocking frameworks and patterns for testability. Desirable: Strong … knowledge of FX Options pricing and risk Strong knowledge of numerical algorithms (optimisation, interpolation, linear algebra) Previous commercial experience with Gurobi or NAG optimisation tools more »
their business. Job Description OVERVIEW : Sportradar Integrity Services is part of the Sportradar Group and the world’s leading supplier of sports integrity solutions. Risk & Investigations is a subunit of Sportradar Integrity Services and supports its partners, which include sports governing bodies, anti-doping organisations, clubs, state authorities, law … and entities, as well as providing intelligence and investigative support to combat doping, online abuse, misconduct, fraudulent behaviour, and broader corruption threats. The Intelligence Analyst, Risk & Investigations, will be responsible for contributing to all aspects of Sportradar’s intelligence and investigation activity. The role demands a dedicated, forward more »
Role: Senior Credit RiskAnalyst, Modelling - 1 year FTC with good chance at going permanent 📌 Location: Central London - 3 days in the office (May be flexible) 📌 Salary: £45,000 - £70,000 + 15% bonus A specialist challenger bank are looking for a Senior Credit Risk Model Development … Analyst to lead their team… and what a company to join! They supports underserved segments of the mortgage market and have done for over a century! Their team of experts deliver specialist lending and retail savings through their industry leading brands - the teams are close knit, management is open more »
Our client, a Commercial Bank based in the City are looking for a Market and Liquidity Analyst to join the team. Responsibilities Production of the daily market risk reports and analysis Produce data for counterparty stress testing/risk appetite Prepare various quarterly reports to board risk committee Monitor, control and escalate market risk exposure limit excess Assist Head of Risk to perform stress testing, scenario analysis and simulations Input, monitor and review the limits in system Experience Experience within Risk Management in particular within Market Risk and/or Liquidity Riskmore »
City London Job Type Full Time Your role Do you have a strong technical cyber security background? Do you have proven experience in cyber risk governance? We’re looking for a Cyber Security Risk Governance Specialist to: •serve as a subject matter expert in a number of Cyber … and Information Security (CIS) domains and capabilities, providing active risk oversight for these areas •proactively and constructively challenge the status quo, identifying operational risks and proposing realistic remediation or improvement solutions •review the firm’s CIS threats, controls, deficiencies, indicators and events, in support of conclusions on the firm … s residual risk •build and develop long-term relationships with security and risk professionals and other stakeholders across the firm •collaborate across multi-disciplinary teams from different geographies and business divisions on change initiatives •streamline and standardize processes for CIS risk governance Your team You’ll be more »
We are seeking an Associate to support our client's Risk Management team. The successful candidate will assist in the daily monitoring and controlling of positions, collateral, liquidity risk, and investment. The role is task-oriented and requires a developing understanding of key risk methodologies and frameworks. … Some Role Responsibilities: Assist in the reporting and daily monitoring of collateral markets Measure the risk exposure of portfolios in the context of liquidity and collateral risk Identify and implement improvements to daily processes Monitor investment counterpart exposures versus limits and policy The Candidate: The ideal candidate will …/market-based qualification e.g. IOC (preferred) Willingness to complete further qualifications e.g. CFA/FRM/IMC/ACT A solid understanding of risk principles Understanding of liquidity risk management Excel/Word skills more »
checks monitoring system performance, and providing cross-application support. The Candidate must understand the technical and functional intricacies of the suite of applications for Risk and Finance that they will be supporting, including the end-to-end business impacts. They will understand the interfaces to and from their respective … relationships with application development (L3) teams and contribute towards early engagement, input, challenge and delivery of all change initiatives. * Maintain relationships with the wider risk and control functions to ensure that risks are understood, documented and mitigated with clear action plans. * Day-to-day relationships with teams from other … and availability of production services. Preferred Qualifications and Experience * Degree qualified or Bachelor's Degree in IT * 3 to 5 + years' experience in Risk and/or Finance application support Lead Role * Preferred experience working in a function of Risk and/or Finance investment banking and more »
the long term. The Role Due to significant growth of the business and ever-increasing expectations of regulators and clients, we are expanding our Risk & Compliance team. Lead by the Chief Risk & Compliance Officer, Pinnacle’s Risk & Compliance team is responsible for the delivery and continual improvement … of the governance, risk & compliance (GRC) framework across the Group, including Pinnacle Investment Management (UK) Limited and the provision of GRC services to Pinnacle’s Affiliate Investment Managers. Key Responsibilities Daily Monitoring of pre and post trade investment compliance rules; Assisting in implementing and reviewing investment compliance rules and more »
UK’s longest-serving active bulk annuity provider, and a market-leading, multi-award-winning business. Job Description We’re recruiting for an Actuarial Analyst to join our Financial Risk Team. We’re offering acompetitive base salary, great benefits and full actuarial study support (including rotations). You more »