RISK DERIVATIVES PRICING MODELS jobs in GREATER LONDON, United Kingdom

Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading...This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing...

Citigroup

Corporate & Investment Banking (CIB) Trading covers valuation and risk-management models used within the Corporate & Investment... pricing theory and risks Strong Risk and control mindset. Experience with Risk Policies and Procedures Good comprehension...

JPMorgan Chase

Corporate & Investment Banking (CIB) Trading covers valuation and risk-management models used within the Corporate & Investment... of products, markets, models, risk management practices, and industry standards. Participate in model-related audits...

JPMorgan Chase

Job Description: Model Risk Governance and Review Group (MRGR) carries out the review of models used across the firm... risk management decisions as well as conduct independent model validation of new and existing models...

JPMorgan Chase

market risk models. You'll make key analytical decisions regarding market risk modelling for Equity derivatives positions... models and methodologies (e.g. time series analysis, VaR methodologies and backtesting) - Understanding of equity pricing...

Source Group International

and maintain market risk models. You'll make key analytical decisions regarding market risk modelling for Equity derivatives... pricing. You'll act as the SME liaising directly with front office, tech teams, and market risk managers to implement...

Source Group International

and maintain market risk models. You'll make key analytical decisions regarding market risk modelling for Equity derivatives... pricing. You'll act as the SME liaising directly with front office, tech teams, and market risk managers to implement...

Source Group International

and maintain market risk models. You'll make key analytical decisions regarding market risk modelling for Equity derivatives... pricing. You'll act as the SME liaising directly with front office, tech teams, and market risk managers to implement...

Source Group International

responsibilities: Implement code for pricing and risk in derivatives pricing libraries Perform tests and analyse results Work... *inside IR35* The role would entail writing and testing code for derivative models and includes the following...

Harvey Nash

responsibilities: Implement code for pricing and risk in derivatives pricing libraries Perform tests and analyse results Work... *inside IR35* The role would entail writing and testing code for derivative models and includes the following...

Harvey Nash

Derivatives pricing models across for vanilla & exotics products. Based in the vibrant City of London, this is an excellent... with traders, structurers and modelers to execute product development plans Develop and maintain models for the pricing and risk...

Millar Associates

design? Developing new derivatives models and extending existing functionality within analytics libraries to cater... valuation and risk management of the firm's trading positions in equities and equity hybrid derivatives. The team works closely...

UBS

sophisticated mathematical models, cutting-edge methodologies, and infrastructure for fair value measurement of derivatives... and liabilities on the firm's balance sheet. Job responsibilities Develop mathematical models for the calculation of pricing...

JPMorgan Chase

The pricing analytics team is a small, London based team which is responsible for developing the models and systems... by fixing bugs participating in code reviews etc Production support of the risk and pricing systems (you will be on a support...

TORA

in implementing risk and pricing models. · Excellent communication and presentation skills, with the ability to convey... risk and economic valuation of different complex physical and derivatives transactions (Storage, Payment Quantities...

Eni

teams, and market risk managers to implement and maintain market risk models. You'll make key analytical decisions regarding... market risk modelling for Equity derivatives positions traded in Europe. Key requirements / skills include...

Source Group International

experience in a Risk Management role Good knowledge of capital markets Knowledge of derivatives (types, valuation/pricing..., risks) Good knowledge of risk models and concepts such as tracking error, VaR, and stress testing methodologies together...

Janus Henderson Investors