MANAGER MARKET RISK CAPITAL jobs in LONDON, United Kingdom #10

and/or a multimanager portfolio management role. Proficient knowledge of the fixed income manager universes Proven knowledge of capital... for third party manager research and portfolio management of external sterling and global credit fixed income funds...

BP

, and a market-leading, multi-award-winning business. Job Description We're recruiting for a Technical Change Actuary/Quant... or address. Supporting the Senior Product Development Manager in giving guidance to the team and its customers on the solutions...

Legal & General

and develop an in-depth understanding of the sector, its risk profile, key positions, market movements and regulations provide... of Financial Products and Capital Markets? Are you a financial reporting expert with excellent analytical skills? Could you act...

UBS

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market... we invest in worldwide. We deploy capital in areas where we can utilise our comparative advantages, namely, a long investment...

GIC

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market... we invest in worldwide. We deploy capital in areas where we can utilise our comparative advantages, namely, a long investment...

GIC

, Risk/Audit, and the business/regions. Collaborate effectively with colleagues across a multi-national environment... experience in expense reporting and analysis, budgeting and planning as a manager or senior analyst level position. IT/Technology...

AXA XL

investment firm in the world. We realize that it's our people who give us a competitive advantage and drive success in the market... to AB’s European Fixed Income Growth initiative Partner with Product Manager, Investment Management team and marketing...

AllianceBernstein

understanding of how risk and return are split across the structure from both an ExxonMobil syndication market perspective... capitalize on commercial insights, we are rapidly building our trading, origination, structured trade finance, risk management...

ExxonMobil

understanding of how risk and return are split across the structure from both an ExxonMobil syndication market perspective... capitalize on commercial insights, we are rapidly building our trading, origination, structured trade finance, risk management...

ExxonMobil

or risk manager in a trading environment, with a strong valuation expertise. Programming skills (Python) with experience in... valuation, structuring and risk assessment of new complex transactions. The main activity of the Deal Structuring team...

Shell

DevOps Engineer Emerging Technology, Capital Markets, LSEG Join our team and help us build the future of financial... manager (under the Director of Emerging Technology).The ideal candidate will play a vital role in developing, maintaining...

TORA

risk either in another asset manager, bank or other financial institution, market intermediary or law firm Knowledge... range of structured finance and other esoteric asset classes ranging from trade finance and capital call facilities at the short end...

Legal & General

Corporate Tax and Planning group, and will report directly to the manager of this team. The role has been created to ensure... within and enhancing the existing tax risk and control framework Excellent written and verbal skills Excellent research, analytical...

JPMorgan Chase

asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper. As a future... analysis and financial modelling for fund, pipeline and portfolio companies Pipeline Leverage the existing manager...

AXA

asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper. As a future... analysis and financial modelling for fund, pipeline and portfolio companies Pipeline Leverage the existing manager...

AXA

of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional... Specialist/Client Portfolio Manager). The successful candidate will lead business and marketing strategy and act as investment...

Wellington Management

of Lloyd’s minimum standards, Lloyd’s regulations and the subscription market (desired but not essential) · Experience... influencing and leading the Market · Knowledge of legal entities and global claims handling in different jurisdictions...

AXA XL