, such as energy supply contracts or PPAs; market/credit/liquidity/operational risk management or management of bespoke complex risk in... across all energy and financial asset classes, including equity, foreign exchange, fixed income, credit, commodities and energy. The...
FTI Consulting, such as energy supply contracts or PPAs; market/credit/liquidity/operational risk management or management of bespoke complex risk in... across all energy and financial asset classes, including equity, foreign exchange, fixed income, credit, commodities and energy. The...
FTI Consulting), is a subject matter expert on a broad range of topics related to risk modelling and quantitative finance: credit and market risk... quantitative and problem-solving abilities. Significant practical experience with the implementation of credit and/or market risk...
European Bank for Reconstruction and DevelopmentAnalytics (GRA). It is responsible for developing, maintaining, and monitoring counterparty credit risk and market risk models...Job Description: Job Title: Senior Quantitative Finance Analyst - Quantitative Developer Corporate Title: VP...
Bank of Americaand sustainable future Job Description We have an exciting and unique opportunity for a Fixed Income Quantitative Analyst... and quantitative fixed income models to support the investment, risk and attribution capabilities of the team What you'll be doing...
Legal & GeneralBusiness Divisions Investment Bank Your role We are seeking a quantitative trader/developer with experience in.... Function Category Quantitative Analysis Join us At UBS, we embrace flexible ways of working when the role permits...
UBS/Credit/Rates Derivatives trading businesses/products Good understanding of derivatives products, risk and P&L, market data...Job Description: Job Title Quantitative Strategic Analytics Developer Location London Corporate Title Vice...
Deutsche BankJob Description: Job Title Quantitative Strategic Analytics Developer Location London Corporate Title Vice... Bank. You will be joining Deutsche Bank GSA, the group is responsible for delivering applications to solve quantitative...
Deutsche BankOne of the most prestigious names in Global Macro investing is currently looking to add a cross asset quantitative... quantitative macroeconomic and strategy models, aiming to inform and further strengthen their investment processes. This includes...
Octavius FinanceSCUK Senior IRB Quantitative Analyst Country: United Kingdom Santander Consumer Finance is one of the UK’s Leading... Motor Finance companies and we are currently looking for a Senior IRB Quantitative Analyst to primarily be responsible...
SantanderStrong market-oriented mindset with the desire to conduct thorough scientific research Experience using quantitative techniques... is a pioneer investor in Fintech Lending through its liquid Alternative Credit funds, enabling Real Economy Impact. Powered...
Fasanara CapitalJob Description: If you are passionate, curious and ready to make an impact, we are looking for you. Quantitative... Science and Quantitative Development. We provide quantitative expertise and diverse product offerings to clients. As part...
JPMorgan Chaseexperience in: Front office valuation/pricing models, Counterparty Credit Risk, XVA, Market risk, Model Validation, Initial... consultancy business the Partner is responsible for the development of Acadia’s UK quantitative consulting business. This includes...
TORAto the clients about equity derivatives market (prices, flows, etc.), offering them tailor-made investment and hedging... with existing clients and identifying new business opportunities. Execute secondary market orders received from the clients. Price...
BBVAplace. Perform credit assessment, review and rating (quantitative and qualitative) of potential and current clients.... Continued awareness of market methodological developments with regard to portfolio credit risk measurement techniques and ensure...
People Firstto control and appropriately call out traded credit risks, and any excesses, resulting from operational, market and economic... volatility. Responsibilities These include credit downgrades, concentrations and correlations across sectors, market risk...
Lloyds Banking Groupon You To: Analyze quantitative and qualitative factors influencing the credit quality of funds and structured transactions, including... by strong local market experience and credit market expertise. The additional context, perspective and insights we provide have helped...
Fitch Group