TRADING CREDIT RISK MANAGEMENT jobs in LONDON, United Kingdom #2

your expertise and become the best version of you. LME Clear is a genuine risk management organisation and the primary function... of the credit risk area is to protect the safety and soundness of the LME market. You will be supported and surrounded...

Hong Kong Exchanges and Clearing

. Trading strategy. Implementation of market entry. Risk Management. If you would like to learn more about this incredible... process. Your role will involve: Portfolio Management. Research & Analysis. Origination of new trading opportunities...

Selby Jennings

managing APAC credit risk & implementing overall strategy as he/she is expected to start trading straight away. Make markets... credit cycle Ability to exit risk on behalf of other APAC traders along with entering new risk Maintain active trading...

ING

managing APAC credit risk & implementing overall strategy as he/she is expected to start trading straight away. Make markets... credit cycle Ability to exit risk on behalf of other APAC traders along with entering new risk Maintain active trading...

ING

will be responsible for conducting corporate credit research and evaluating trading opportunities in Emerging Markets, sourcing... opportunities, trading and monitoring (via generation of portfolio metrics, risk and performance analytics) the portfolio based...

CPP Investments

trading business units, help assess counter-party credit risk and ensure risk control processes are correctly followed... Risk framework and control processes across market, credit and operational risk. Job description This position...

Keyrock

Corporate & Investment Banking (CIB) Trading covers valuation and risk-management models used within the Corporate & Investment... risk, understanding regulatory changes and determining credit worthiness. Risk Management provides independent oversight...

JPMorgan Chase

risk management standards Provide support, including the knowledge in rates and credit products, valuations, derivatives... as a Senior Investment Risk Manager to join our Investment Management Oversight team to provide a professional service applying...

Phoenix Group

As part of the Compliance division of Macquarie's Risk Management Group, the Conduct Risk team supports our businesses... and financial wellbeing Employee Assistance Program Recognition and service awards About the Risk Management Group In...

Macquarie Group

Risk Analyst Overview: An excellent opportunity has arisen with a global commodities trading organisation.... This is a mid-level position. The role involves collaborating with different departments to develop risk management strategies...

Intec Select

. Conduct an in-depth quantitative analysis across the risk and credit functions, ensuring the models and portfolios... and reporting tools used by the Credit department, Market Risk, Finance and Front Office teams. Use a quantitative approach...

Selby Jennings

type (e.g. Credit, Market, Liquidity, Operational) and embedding the Group's Risk Management Framework for that risk... of investment disciplines. Overview: This role has responsibility for independent risk management oversight for a specific risk...

Deutsche Bank

At least one year of experience in Product Control or Market Risk Management at a major financial institution Personal Competencies...Department Overview: TRM Risk London is team of circa 70 people supporting a wide area of businesses within Financial...

ING

At least one year of experience in Product Control or Market Risk Management at a major financial institution Personal Competencies...Department Overview: TRM Risk London is team of circa 70 people supporting a wide area of businesses within Financial...

ING

. - Minimum of 8 years of experience in market risk management within a financial institution, with a focus on derivatives trading... will have extensive experience in market risk management and be instrumental in developing and implementing robust systems and processes...

Marex

. - Minimum of 8 years of experience in market risk management within a financial institution, with a focus on derivatives trading... will have extensive experience in market risk management and be instrumental in developing and implementing robust systems and processes...

Marex

management, and trading of life insurance products, assets and derivatives. Build and implement new tools for the wider... to join our Quantitative Engineering team within the Asset Management (AM) function. Joining at this early stage you will be working in a fast...

Phoenix Group