MANAGER QUANT CREDIT RISK jobs in LONDON, 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

. 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

, implementing trading strategies and as well tracking performance. Operate within a high-performing, fast paced quant development... quoting and risk management strategies. You should possess strong analytical skills and a passion for financial markets...

UBS

stakeholders and internal functional departments (Risk, Finance, Credit) Provide an independent commercial view on structured... or risk manager in a trading environment, with a strong valuation expertise. Programming skills (Python) with experience in...

Shell

, Rates, Credit and Equities) and develop next generation algorithmic trading solutions. You will be involved in every aspect... within a high-performing, fast paced quant development team, whose goals are directly aligned to the business You will employ...

UBS