TRADING CREDIT RISK MANAGEMENT jobs in LONDON, United Kingdom #5

as a Direct Markets trader Effectively risk manage the trading book Liaise with sales to develop the franchise, anticipating... client demand in each respective product/market. Use existing (and help develop) trading dashboards to improve risk...

Citigroup

A CTRM (Commodity Trading and Risk Management) Business Analyst plays a critical role in the integration, optimization..., and support of commodity trading and risk management systems within an organization. Here's a detailed job description for a CTRM...

BBGC

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

PIMCO

, BO, Accounting, Risk, etc.). Relevant experience in process transformation and organizational changes. Digital and open mindset... skills. Additional languages. Overview Transformation & Platform Strategy Management (T&PSM) helps CIB Global Markets...

BBVA

. Job responsibilities Captures, timely and accurately, all transactions in the Risk Management Systems Completes intraday / end-of-day... processes including completeness and reconciliation checks to ensure capture of new trading activity and general book management...

JPMorgan Chase

Creates and maintenance of security set ups spanning all asset classes and engaging trading desk and risk management teams... and partner with other groups within Highbridge including fund controllers, risk management and technology. Highbridge Capital...

JPMorgan Chase

Portfolio Managers in the management of the derivatives (including interest rate, inflation, FX & cross currency basis... analytics library and tools. You will need to effectively collaborate with Risk, Investments and Finance to secure their buy...

PIC

, bordereaux management, rate movement, claims trends, regular reviews, underwriter visits and audits; Enter relevant risk..., Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the...

Munich Re

and seek new business contacts. Liaise with Risk (including with but not limited to Credit, Legal and Documentation... and English At least bachelor degree Good understanding of credit, compliance and risk issues. Good knowledge of traded...

People First

Market Operations is to secure satisfactory risk evaluation and risk communication to enable Statkraft Trading & Origination... and asset optimization business. Our responsibilities include P&L and risk reporting, risk management support, development...

Statkraft

, Cash, Performance, Analytics etc Intimate knowledge of Front Office workflows (Portfolio construction, Trading, Risk... & trading and investment management to institutional clients. Work, Live and Grow. We make all efforts to create a great work...

State Street

and risk management capabilities for FnO/OTC derivatives across all asset classes as well as develop our own analytics... management solutions Develop novel IM and derivative models to improve existing coverage and risk quality Manage independently...

JPMorgan Chase

-Added support to Front Office and enable business growth, better Risk Management, and resolution of queries for Sales... FM Business by delivering operational efficiency and superior risk management practices, providing critical trade support...

Standard Chartered

sourcing and management of maritime transportation and logistics services, and the provision of oil risk management services... Trading Team(s), including but not limited to: (i) set-up of documentary instructions & voyage orders; (ii) dealing...

Eni

readership make better-informed trading, risk management, and investment decisions Responsible for the accurate and timely... and, where possible, anticipate market movements by developing a solid understanding of natural gas/LNG trading, modeling, and forecasting...

S&P Global

investments. Solution Sales or Investment Solution Sales. 5-7 years of previous experience in QIS, Asset Management, Multi Asset...). Spanish will be valued. Soft skills Great communication skills. Adaptability, flexibility. Teamwork. Change management...

BBVA

management, credit, and electronic trading services that help them negotiate complex, global financial markets efficiently... and effectively. As Head of Operational Resilience within State Street Enterprise Risk Management (ERM) department, you will lead...

State Street