MANAGER QUANT CREDIT RISK jobs in United Kingdom

with us to discuss in more detail. Purpose The Responsible Investment Manager (Quant) is responsible for developing and enhancing... into investment decision-making processes, asset allocation, and risk management frameworks. Quantitative modelling and analysis...

Just

focus is on credit risk and pricing. ​The work is a mix of pure advisory, resource augmentation (execution of a quant... of either Credit risk (IRB, IFRS9, stress testing) or pricing (cross asset derivatives including development and validation...

Barclay Simpson

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...

Marex

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...

Marex

business line and the risk manager. · Daily control of reconciliation of stocks and past cash flows, FX positions between FO...) Production and analysis of the Market Risk indicators and monitoring of their associated limits. Systems: this production...

Crédit Agricole CIB

by the Global Fixed Income Portfolio Management, Quant and Credit Research teams. You will be a hands-on analyst who... manager focused on delivering global investment management excellence and retirement services that investors can rely...

T. Rowe Price