repo trading risk jobs
1-10 of 20 jobs "repo trading"repo trading risk manager
Respected Financial Services Organisation, City of London Global Risk Management / Treasury To lead... the development of a Liquidity Risk framework with respect to collateral management including secured funding... and unencumbered trading positions. Success will depend upon your ability to develop good working relationships... will inlcude: Trading areas and Private Wealth Management, etc. This is a global, role with treasury staff
Contract: Permanent
Jobs similar to "repo trading risk": funding liquidity risk manager, financial risk management manager
or broker / dealer trading environment; Credit risk management experience in international credit markets... This leading financial services group is looking to hire and international credit risk analyst... to join their Credit risk management team The role will involve the credit risk management... of international trading counterparties and exposures, with particular focus on Financial Institutions
Requirements: HBO opleiding
and will also introduce the candidate to trading platforms and systems. Whilst risk mitigation is their primary... A leading European Investment Bank, based in the West End, has an exciting opportunity on the Repo... for management, credit and finance. The candidate will join the Repo and Stock lending Team in a support function... of investment banking systems and trades, broad understanding of Repo products and business awareness...Banking & Financial Services / Operations
Requirements: credit risk, stock lending, repo, prices, margin calls, reconciliations, settlements, investigations
Contract: Temporary
and will also introduce the candidate to trading platforms and systems. Whilst risk mitigation is their primary... A leading European Investment Bank, based in the West End, has an exciting opportunity on the Repo... for management, credit and finance. The candidate will join the Repo and Stock lending Team in a support function... of investment banking systems and trades, broad understanding of Repo products and business awareness
Requirements: ACA - Part Qualified
Contract: Temporary
London | London Jobs
Salary: £60,000 - £75,000 per annum
(Risk, PnL, etc). The daily operations of the investment unit will depend on the efficient and timely operation of the systems you will develop. Above all you will be a self starter who is able to work closely with front office... with MS Reporting Services •Experience of front office trading environment ideally within equity derivatives •You will be a bright, self starter with expert analysis skills and strong communication skills •Degree educated (2.1...IT Jobs
Requirements: Skill 1: reporting, Skill 2: risk, Skill 3: pnl
Contract: permanent
An exciting new opportunity has arisen for a Senior Market Risk Manager to join a team responsible... for identifying, measuring, analysing market risk and clearly communicating this to the senior management... of the firm. Responsibilities: Primary desk market risk management responsibilities for a varied product mix... , including credit arbitrage strategies, repo-type transactions, interest rate derivatives, equity derivatives
Contract: Temporary
Jobs similar to "repo trading risk": repo trading risk manager, senior repo trading system, senior equity repo risk, repo credit risk manager
England
Company: EquitylinkedSalary: Upto £650 pd
Services / Equity Finance / Repo / Stock Loan / Front Office / Spreadsheet migration / Risk & Pricing Great... to work on migration of existing risk and pricing spreadsheets into scalable C# applications... . This will form a key component of the Equity Swap trading application. The candidate should have project
Contract: Contract
to work within Risk Finance Reporting Team on Several Project Work-streams The Team is responsible... for providing regulatory reporting systems to the Risk and Finance department assisting in compliance... with the Basel Accords. The department is primarily responsible for gathering data from the Bank's trading... systems and producing Risk Weighted Assets calculations. Our Client is ideally looking for Management
Contract: CONTRACT
London
: • Repo Processing - Collecting trade tickets - Checking tickets for correct details, and against the Repo... Gui booking, and confirming the trade in the Gui - Manually creating repo closeout instructions... and the repo desk in case of any segregated or long-only funds - Creating weekly Fails reports for internal... audit purposes - Raising any trade discrepancies to trading - Booking dummy trades in Bloomberg in order...Asset Management
Requirements: • Knowledge of front to back trade processing • Ability to prioritise work depending on urgency, calculating risk impacts and knock-on effects • Good sense of structuring the workload in order to keep deadlines and deal with all incoming queries in various forms
to day support for London trading desks including Correlation, Bank Loans, Structured Repo and Principal... aspects of the firm’s global Derivatives activities. This includes direct Trading and Sales support... , institutional client support and service and risk management. The Credit Middle Office groups focus on day... Finance & Investment & Flow trading along with the sales teams that correspond. This covers a range
Contract: Temporary
Jobs similar to "repo trading risk": structured credit trading middle office