risk rates
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£60,000 - 75,000 Fantastic opportunity in an established global financial institution in London for a Market Risk Analyst with Interest Rate experience.This role offers potential candidates a market risk analyst position in an international brokerage firm. Reporting directly to the Head of Risk, this distinctively flat structured organisation will feature interactions with the trading desks, credit risk and other middle office control departments with a focus across Europe, Middle East and...
Contract: Employee - Full time
4 days, 7 hours ago in eFinancialCareers Save
Market Risk Analyst Interest Rates
London England - London - City
Company: Orgtel FinanceSalary: £60,000-75,000 + Bonus
£60,000 - 75,000 Fantastic opportunity in an established global financial institution in London for a Market Risk Analyst with Interest Rate experience. This role offers potential candidates a market risk analyst position in an international brokerage firm. Reporting directly to the Head of Risk, this distinctively flat structured organisation will feature interactions with the trading desks, credit risk and other middle office control departments with a focus across Europe, Middle East and...
Contract: Permanent
4 days, 14 hours ago in theITJobBoard Save
Interest Rates Market Risk Manager Requisition ID 6212 Full/Part Time Full-time Location London, London Description Job title - Market Risk Manager Market Risk Management Team – Interest Rates and FX Location – London Business Description Our Mission “Market Risk Management cause and incent all of the businesses in the firm to implement better market risk management practices, such that consistent criteria are used to appraise similar risk Who We Are Market Risk Management (MRM) is responsible...
Experience: Senior Specialist / Project Manager
1 week ago in Experteer.co.uk Save
Product Control Manager / Credit & Rates / 80k
UK-London
Company: Pathway ResourcingSalary: Negotiable
My client a tier 1 IB, based in Canary Wharf requires a product control manager to join the Derivative Counterparty Risk Management (DCRM) Group. The DCRM Product Control Group supports the DCRM, Securitisation Derivatives and Vanilla Options businesses in London. The team consists of 3Review of daily P&L commentaries and aggregated weekly/monthly commentaries including submission of daily P&L and commentaries to management information systemsMonthly reconciliation and balance sheet validation...
Contract: Employee - Full time
1 week, 6 days ago in eFinancialCareers Save
Product Control Manager / Credit & Rates / 80k
UK-London
Company: Pathway ResourcingSalary: Negotiable
A product control manager is required to join the Derivative Counterparty Risk Management (DCRM) Group. The DCRM Product Control Group supports the DCRM, Securitisation Derivatives and Vanilla Options businesses in London. The team consists of 3 Managers and 7 Analysts. The role will have 4Review of daily P&L commentaries and aggregated weekly/monthly commentaries including submission of daily P&L and commentaries to management information systemsMonthly reconciliation and balance sheet...
Contract: Employee - Full time
1 week, 5 days ago in eFinancialCareers Save
60K + Exotic Rates Income Product Controller ACA/ACCA/CIMA
UK-London
Company: Huxley AssociatesSalary: Negotiable
A Top Tier Investment Bank is actively looking for a newly qualified Product Controller within its Structured Rates division.You will be exposed to a Multi-asset class of products within Fixed Income, including credit, rates and hybrids. Progression opportunities into complex valuations, analytical project based work, volatility and risk are easily accessible within this... opportunity within this role.Working in close connection with Senior Business Managers, Head?s of Quantitative Risk and Head Traders...
Contract: Employee - Full time
1 week ago in eFinancialCareers Save
Background An exciting new opportunity has arisen for a Risk Assessment Manager within the Commercial department.  The Job Purpose of this role is:   To manage the profitability forecasting and determination of premium rates so that Strategic Plan targets may be achieved.  To support marketing and pricing strategies, evaluating the population and financial... boundaries in the development of pricing and marketing strategies.  The ideal candidate will:- Come from an Underwriting/Risk
Contract: Permanent
1 week, 2 days ago in Totaljobs Save
QA BUSINESS ANALYST RISK MAN. SYSTEMS!
LONDON England - London - City
Company: Huxley Associates - LondonSalary: Up to 110k plus bonus/benefits
The Debt Tech.Group in a Tier 1 Investment Bank is building out a strategic risk management platform to span Credit... functional/technical architecture and assist with every decision in the strategic build of the risk platform.The team sits between... business products onto the strategic risk management platform, Enhancements to the system driven by market conditions what..., resilience.The ideal candidate will have Risk Management Systems development experience and expert understanding of Risk management of...
Contract: Permanent
1 week, 5 days ago in theITJobBoard Save
QA BUSINESS ANALYST RISK MAN. SYSTEMS!
LONDON England - London - City
Company: Huxley Associates - LondonSalary: Up to 110k basic plus bonus/benefits
The Debt Tech.Group in a Tier 1 Investment Bank is building out a strategic risk management platform to span Credit... functional/technical architecture and assist with every decision in the strategic build of the risk platform.The team sits between... business products onto the strategic risk management platform, Enhancements to the system driven by market conditions what..., resilience.The ideal candidate will have Risk Management Systems development experience and expert understanding of Risk management of...
Contract: Permanent
1 week, 1 day ago in theITJobBoard Save
Leading global financial institution in London urgently looking for a Market Risk Analyst with interest rate exposureFantastic career opportunity in the Market Risk team, reporting to the Head of Market Risk. This cross asset Market Risk analyst role, with an emphasis on interest rates will feature interactions with the trading desks, credit risk department and back office teams. Duties will include:- Reporting trigger limit breaks and resolving- Ensuring collateral risk cover of clients...
Contract: Employee - Full time
1 week, 4 days ago in eFinancialCareers Save