SENIOR QUANTITATIVE MARKET RISK jobs in United Kingdom #3

is also available for one or two days a week. Keywords: Risk Management, Cambridge, Quantitative Analyst, Maths Modelling, Climate Modelling, Natural...Are you a risk modeller looking for a change from the finance sector? Maybe you have played an important role in...

ECM Selection

Job Description: Employer: DWS Group Title: Senior Risk Manager CLO Location: London About DWS... the investment process. Role Details: As a Senior Risk Manager you will (be): Risk Management Program for dedicated...

Deutsche Bank

supply chain and altering the patterns of shipping activity. As a senior data scientist with Kpler's risk and compliance... that will drive business impact in the scope of maritime risk and compliance. As a senior data scientist, you will: Devise...

Kpler

We have an exciting opportunity for a Senior Manager to join our Credit Risk Assurance team. We are a specialist.... As a Credit Risk Modelling Senior Manager, you will have a senior technical specialist role supporting the external audit...

KPMG

market risk/IRRBB. The team is currently looking for talented quantitative analysts with experience of market risk (VaR, FRTB... their traded risk quantitative solutions service line which is working with banks across the globe to support them in the...

Barclay Simpson

market risk/IRRBB. The team is currently looking for talented quantitative analysts with experience of market risk (VaR, FRTB... their traded risk quantitative solutions service line which is working with banks across the globe to support them in the...

Barclay Simpson

, Bristol locations. As a Senior Strategy and Market Insights Manager, you will play a pivotal role in driving the growth... to capitalise on them. Perform quantitative and qualitative assessments of a market, including the size of the market both in...

BT

modelling, risk modelling and stochastic economic scenario modelling. Work in CMG requires high levels of quantitative skills... risk calibrations and proxy modelling approaches against market practice, in particular for illiquid assets...

Deloitte

Business Unit: Group Risk, Model Risk Management Salary range: £38,400 - £48,000 DOE + Red-Hot Benefits! Location.... Our Team It's an exciting time to be joining Model Risk Governance, a central pillar in the Model Risk & Analytics (MR...

Virgin Money

will build on core understanding of market, counterparty credit, and liquidity risk types and how senior management manages... and within risk management. Numerate, with strong quantitative and data skills, with the ability to analyse, interpret and present...

Citigroup

, or someone with quantitative practical work experience at this level. The role will involve supporting a Solvency II internal model development... project (focussing primarily on the credit risk model), with some managerial responsibilities. This is a temporary position...

M&G

, including equities, fixed income, derivatives, and real assets. Utilise risk models, quantitative techniques, and scenario... analysis to assess the potential impact of market factors, economic trends, and other variables on portfolio risk. Monitor...

Barclay Simpson

against market volatility and other external factors. Responsibilities: * Risk Identification and Assessment: Identify..., and other external factors on investment risks. Utilize quantitative models, stress testing, scenario analysis, and other risk...

Barclay Simpson

Investment Risk Specialist – Salary circa £60,000 This is a great opportunity to join a market leading investment... risk oversight team in one of the UK’s biggest insurers. If you are an inquisitive and proactive person with quantitative...

Aviva

, they are seeking a talented Risk Manager to strengthen their growing team. As a Risk Manager specializing in quantitative schedule... for continuous learning and growth. Responsibilities Conduct quantitative schedule and cost risk analysis to assess the impact...

Gold Group

, they are seeking a talented Risk Manager to strengthen their growing team. As a Risk Manager specializing in quantitative schedule... for continuous learning and growth. Responsibilities Conduct quantitative schedule and cost risk analysis to assess the impact...

Gold Group

to examine model’s behaviour under different scenarios and market conditions Collaborate with senior personnel in delivering...This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing...

Citigroup