MARKET RISK MANAGER LONDON jobs in LONDON, United Kingdom #4

Assistant Manager include: Lead and deliver portfolio of governance, risk management and conduct risk related assignments in... management of engagements. Requirements of the Assistant Manager include: Governance and Risk Management related experience...

Merje

Job Description: Job Title: Senior Risk Manager, Digital Assets Location: London DWS Group (DWS) is one of the... type (e.g. Credit, Market, Liquidity, Operational) and embedding the Group's Risk Management Framework for that risk...

Deutsche Bank

, one piece of software at a time. The Risk Manager position is a hands-on, high impact role that will require experience in... Enterprise risk management, specifically in the financial services industry. The risk manager will be responsible for the...

Blockchain.com

Job Description: .Job Title Market Risk Manager Location London Corporate Title Vice President As a Market Risk... the CEEMEA region. You will be responsible for managing market or fair value risk within Deutsche Bank and will carry out...

Deutsche Bank

Risk & Compliance Manager (Insurance) Salary: £60,000 - £70,000 per annum | Location: London An expanding Lloyd...'s / London Market insurer seeks someone with either Insurance Risk / Compliance experience. This role reports into the Chief Risk...

Insight Recruitment Solutions

Catastrophe Risk Manager – Property City of London / Hybrid Up to £90k (d.o.e) + competitive wider benefits IPS... are working with an exciting Insurtech / Lloyd’s syndicate in their search for a Manager to further enhance their Property...

IPS Group

Job Description: Employer: DWS Group Title: Senior Risk Manager CLO Location: London About DWS..., and supporting the sustainable growth, of a world leading asset manager. The Risk Management team is responsible for the...

Deutsche Bank

(Senior) Risk Manager (based in London) to join us in this to drive greater transparency and consistency in all enterprise... then we were local experts – based in London, with direct access to the world’s biggest insurance market. We’re still locals...

Howden Group Holdings

Job Posting Title: Senior Manager, Asset Protection & Risk Management Req ID: 10080603 Job Description: Overall... and brand for CPGP EMEA. Ensure a strong operational focus on retail asset protection and risk management initiatives...

The Walt Disney Company

An exciting opportunity has arisen for an experienced Risk Manager to join a prestigious international bank... and implementing any changes to London office risk management Advising London office staff of risk management polices/procedures...

Prime Personnel

Manager role joins our high performing Financial Services team in London. This role is an excellent development opportunity... and improvement as well as at a transactional and defined project level. From technology to risk advisory, they’re experts in...

BDO

UK CRO is the Chief Risk Officer for Citigroup Global Markets Limited (CGML) and CBNA London Branch. This role reports... will build on core understanding of market, counterparty credit, and liquidity risk types and how senior management manages...

Citigroup

of enterprise-wide risk exposures including Market, Credit & Operational Risk factors and incorporating client level analysis...Marex is a diversified global financial services platform, providing essential liquidity, market access...

Marex

of enterprise-wide risk exposures including Market, Credit & Operational Risk factors and incorporating client level analysis...Marex is a diversified global financial services platform, providing essential liquidity, market access...

Marex

, risk identification, analysis and financial market systems; Detailed knowledge of the global energy markets, end-to-end... Express, LEVEL and Vueling. The company is headquartered in Krakow, and has operations in London, Madrid, Barcelona...

IAG GBS

; Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation... and business, covering risk management and valuation aspects; Working with financial models for discounted cash flow, market...

Carne Group

and counterparty risk for BlueBay’s fund products. What will you do? Monitor macro and market risks across the funds. Monitor... Measurement, Investment Risk Management, Risk Control Additional Job Details Address: 100 BISHOPSGATE:LONDON City: London...

Royal Bank of Canada