STRESS TESTING MANAGER – RISK jobs in United Kingdom

IFRS9 Impairment & Stress Testing Manager | S3 | Credit Risk Country: United Kingdom Interested in part-time... a timely manner Involving in review and challenge of the next generation credit risk provisioning & stress testing models...

Santander

IFRS9 Impairment & Stress Testing Manager | S3 | Credit Risk Country: United Kingdom Interested in part-time... a timely manner Involving in review and challenge of the next generation credit risk provisioning & stress testing models...

Santander

Business Unit: Group Finance, Stress Testing Salary range: circa £65,000 - £75,000 DOE+ red-hot benefits Location... Consolidation team (DDC) are responsible for the preparation, review / challenge and submission of a range of the Stress Testing...

Virgin Money

Connect to your Industry Deloitte provides premium quality and testing services to a wide range of global clients..., solving the most complex testing challenges on their most significant and highest profile IT change programmes. Our team...

Deloitte

by facilitating risk workshops. Stress testing risk controls for their effectiveness. Identifying risk trends and where they may... their key risks and controls? If you are an experienced Enterprise Risk Manager who has worked across a variety of corporate...

Atomic Weapons Establishment

and Investigation of breaches Produce risk reporting and analytics and Run enterprise and portfolio stress testing Review and maintain... as a Senior Investment Risk Manager to join our Investment Management Oversight team to provide a professional service applying...

Phoenix Group

all Regulatory Requirements in Respect to Risk Management including Stress Testing & Scenario Analysis Facilitate Risk & Control... + Excellent C-Level Staff Benefits SENIOR RISK MANAGER / OPERATIONAL RISK MANAGER £100-115,000 Salary + Strong Bonus...

Secure Recruitment

and liquidity risk analytics, development of management information, stress testing, and hedging strategy with a particular emphasis...We are seeking a Market & Liquidity Risk Manager to join our collaborative team in Wolverhampton. You will be able...

OneSavings Bank

assurance reviews of key areas of prudential risk, including regulatory returns, stress testing outputs, and impact assessment...Hybrid working - highly flexible We are currently seeking a highly skilled Prudential Risk Specialist...

Marks Sattin

assurance reviews of key areas of prudential risk, including regulatory returns, stress testing outputs, and impact assessment...We are currently seeking a highly skilled Prudential Risk Specialist to join a growing financial organization...

Marks Sattin

Job Title: Investment Risk Manager Company Description: We are representing a leading financial institution committed... on our clients, communities, and employees. Focus is on Emerging Market Credit products. Job Summary: As an Investment Risk Manager...

Barclay Simpson

to Value at Risk (VaR), sensitivities (the Greeks), stress testing, risk capital calculations, etc. Support and contribute..., or Tier-1 investment bank. Detailed knowledge of Value-at-Risk, scenario analysis, back testing / stress testing, expected...

JERA Global Markets

FPC’s housing tools. In addition, the team plays a key role in stress testing including by calibrating the stress test... Strategy and Risk (FSSR) Directorate is responsible for producing analysis to help the Financial Policy Committee (FPC) assess...

Bank of England

and consistently applying the RMF including the Capital Model and its uses and limitations. The Risk Manager provides advice.... 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

Manager with a background in Credit Risk. Key points: The individual will be leading a key work stream to delivery.../Programme Manager Knowledge of key risk metrics (PE,EEPE) and other Credit Risk methodologies including settlement risk...

Investigo

We are seeking an experienced Senior Risk Manager with a specialization in Equities to join our dynamic Investment Risk team..., analytics and stress testing Strong quantitative skills Strong analytical and problem solving skills with good attention...

Janus Henderson Investors

management models and techniques like Value at Risk, Liquidity Risk models, backtesting, and stress testing. Ability to lead...Description: My Client is looking for a risk manager to join their team. Manage day-to-day risk operations, drive...

Barclay Simpson