MANAGERS MARKET RISK CAPITAL jobs in LONDON, United Kingdom #3

. You should be familiar with capital markets products and have a good understanding of risk management and control frameworks. This role... Management, Legal, and Finance departments; Work with financial risk management functions to build out OKX UK's capital...

OKX

and financing, risk management, market access, physical execution and logistics solutions to its diverse client base..., leasing and asset financing, market access, commodity trading, renewables development, specialist advisory, capital raising...

Macquarie Group

The Risk Manager will be supporting the Head of (Market) Risk for the risk transformation and change journey over the... closely with the Head of Market Risk within the Risk Group providing support in identifying areas needing improvement...

Smartest Energy

within international banking covering market, liquidity, credit and capital risk Current or previous experience actually working at the...An exciting opportunity has arisen for an experienced Risk Manager to join a prestigious international bank...

Prime Personnel

Join us as an Insurance Risk Manager to take your career to the next level with an international market leader... of insurance risks and their Key Risk Indicators Work closely with the Economic Capital Modelling team; in particular, provide...

AIG

businesses and economies around the world to fund innovation, manage risk and create jobs. It’s how we’ve contributed... a comprehensive suite of trusted financial market infrastructure services – and our open-access model – we provide the flexibility...

TORA

and share market views with partners, other portfolio managers and research team. Required qualities and skills: Proven... $7 billion in assets across four funds. Pharo trades foreign exchange, sovereign and corporate credit, local market...

Pharo Management

more than 100 countries. We provide strategic advice, raise capital, manage risk and extend liquidity in markets around the... our ability to articulate business value and risk and prioritize our work accordingly. You will lead and influence our teams to design...

JPMorgan Chase

, raise capital, manage risk and extend liquidity in markets around the world. Operations teams develop and manage...

JPMorgan Chase

understand the risks vs the market environment) Assist in defining the risk tools and risk metrics Work closely with the desks... regarding drivers of risk movements to senior management and portfolio managers. Provide optimization techniques with the...

Selby Jennings

as internal rating systems for capital and impairments calculations, risk management (origination and monitoring), pricing.../her with direct exposure to risk managers, investment managers and other credit analytics professionals at top financial institutions...

S&P Global

risk-return match while ensuring that the risk of capital loss of investments is limited. He will have to be an expert in... and provides support and assistance to managers; Acts as an expert in the development and improvement of risk estimation...

CDPQ

to and encourage client enquiries, manage the resulting risk, and understand and respond to market-moving events. Trading is detail... risk, and respond to market-moving events Focus on details and logically make quick decisions Structuring & Origination...

JPMorgan Chase

of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional... that aligns our perspectives with those of our clients. About the Role We are seeking to hire an Emerging Market Debt Trader...

Wellington Management

in the current market environment. A bit about the job: This is a credit research role providing investment... across AI, fund managers and other AI research and strategy teams to formulate, underpin security selection recommendations, providing...

Aviva

, put thousands of new or improved homes into the UK housing market, and successfully launch on the London Stock Exchange... queries. -Work closely with Director of Treasury Markets on capital allocation, scenario modelling and lending margin...

LendInvest

and Risk Management (MVRM) is responsible for managing market risk and ensuring fair value assessment of Books & Records... within Deutsche Bank. The primary market risk objective is to ensure that business units of the bank optimize the risk-reward...

Deutsche Bank