QUANTITATIVE MARKET RISK MANAGER jobs in United Kingdom

looking for someone ready for a new challenge to join the Chicago team. The Manager Quantitative Risk Management is responsible for developing... Clearing Quantitative Risk Management department. Our Quants team are working with complex and advanced modelling and we're...

CME Group

). Experience of market risk (VaR, DRC, ES, FRTB), counterparty risk (IMM, SA-CCR) would also be of interest although the primary...We are working in partnership with the quantitative solutions arm of a global advisory firm in London. The firm...

Barclay Simpson

Job Description: Position Description The Senior Market Risk Manager will lead the Market Risk team, supporting the... design and implementation of market risk control frameworks, where you will be covering both quantitative and qualitative...

JERA Global Markets

activities (i.e. project risk) in the Bank. As a Senior Market Risk Manager, your primary responsibility will be to support the... Engineering or related quantitative discipline CFA/FRM is highly desirable Solid experience in market risk management...

Bank of China

today! About the team Due to the continued growth of our FS Risk Consulting Department, we are looking for a Market Risk Quantitative... Manager to join the Quantitative Finance Team based in London. You will mainly interact with banks but also insurance...

Mazars

Description: My Client is looking for a risk manager to join their team. Manage day-to-day risk operations, drive... committees, and senior management. Requirements: Strong quantitative background, analytical skills, and experience in risk...

Barclay Simpson

. Based in London this role sits within Market Risk Analytics group, which is responsible for providing quantitative.... As a Senior Quantitative Finance Manager, your responsibilities will involve: Develop quantitative risk models, analytics...

Bank of America

is looking to add an experienced Market Risk Manager to lead the Risk team in London. The Risk Specialist will support the business in all key risk... methodologies, implementation of suitable risk control frameworks and providing both qualitative and quantitative market risk...

Selby Jennings

. 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

derivatives pricing, risk and data science? Are you in innovative thinking and enjoy building tools...? We are looking for someone who can work closely with trader and sales, utilizing a variety of technologies to provide fast time-to-market...

UBS

for As eFX Alpha Strategies Quantitative Analyst, Vice President, you will Main contributor to on-going enhancements to the eFX... pod’s automated selection and optimization of models and strategies Researching and generating FX market signals for use in...

State Street

Business Divisions Investment Bank Your role We are seeking an experienced quantitative researcher/developer... analysis to help optimize systematic quoting and risk management strategies. You should possess strong analytical skills...

UBS

manager with a global presence and a wide range of strategies, ranging from directional to market neutral, as well as a multi... risk-adjusted performance of the multi-manager funds focusing on portfolio construction and tail-risk management; assessing...

Pictet

. Collaborate with the Institutional Clients Equity Derivatives Sales Regional Manager in defining the business strategy, business... to the clients about equity derivatives market (prices, flows, etc.), offering them tailor-made investment and hedging...

BBVA

Credit Risk Manager will report directly to the Senior Manager, Credit Risk seating in Singapore. Key Role Responsibilities... As part of the Credit & KYC team, the Credit Risk Manager will be responsible for: Managing autonomously credit risk related...

JERA Global Markets

requirements and consistently applying the RMF including the Capital Model and its uses and limitations. The Risk Manager.... What Will You Do? Is a relationship manager for the business units (‘BU’), through ad hoc and regular Risk and Control Self-Assessment (‘RCSA’) meetings...

The Travelers