financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit for you Key Responsibilities: As a Market Risk Specialist specialising in counter-party credit and derivative organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
seasoned Credit Risk Analyst with a passion for developing and validating credit risk models? Do you thrive credit risk management. Responsibilities: Contribute to the development and validation of credit risk models credit risk data, identifying areas for improvement and recommending strategies to mitigate risk Utilize read, interpret, and create code related to credit risk modeling Keep up-to-date with industry best practices regulatory requirements, and emerging trends in credit risk modeling and analysis Provide strategic guidance
financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit for you Key Responsibilities: As a Market Risk Specialist specialising in counter-party credit and derivative organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
develop and maintain the information technology (IT) risk and compliance frameworks, policies, processes and company's business continuity plans, and work with risk management and internal audit units to monitor IT This position reports to a Senior Manager: Technology Governance, Risk and Compliance Formal Education: in IT, compliance or Internal/External Audit or risk management will be an advantage Experience: Minimum years' experience in IT auditing or ICT governance, risk and compliance in a medium to large organisation
firm is looking for a Risk Analyst to join their Risk team Job Description: The Risk Department is responsible front-line trading and ensuring that senior management understands the risk-reward ratio of the trading books Responsibilities: Calculate and run the desk's P&L and risk reports daily. Provide assistance with developing reflect them. Engage in regular discussions with Risk Managers. Present issues clearly and logically to requested. Qualifications: Bachelor's Degree (i.e. Risk Management, Finance, Computer Science, Engineering
seeking a highly skilled and experienced Senior Quantitative Risk Analyst to join their dynamic pricing pricing and profitability team As a Senior Quantitative Risk Analyst, you will play a critical role in developing manager for effective and coordinated response to risk changes Contribute to budgeting and planning Maintain
seeking a highly skilled and experienced Senior Quantitative Risk Analyst to join their dynamic pricing pricing and profitability team As a Senior Quantitative Risk Analyst, you will play a critical role in developing manager for effective and coordinated response to risk changes Contribute to budgeting and planning Maintain
seasoned Credit Risk Analyst with a passion for developing and validating credit risk models? Do you thrive credit risk management. Responsibilities: Contribute to the development and validation of credit risk models credit risk data, identifying areas for improvement and recommending strategies to mitigate risk Utilize read, interpret, and create code related to credit risk modeling Keep up-to-date with industry best practices regulatory requirements, and emerging trends in credit risk modeling and analysis Provide strategic guidance
firm is looking for a Risk Analyst to join their Risk team Job Description: The Risk Department is responsible front-line trading and ensuring that senior management understands the risk-reward ratio of the trading books Responsibilities: Calculate and run the desk's P&L and risk reports daily. Provide assistance with developing reflect them. Engage in regular discussions with Risk Managers. Present issues clearly and logically to requested. Qualifications: Bachelor's Degree (i.e. Risk Management, Finance, Computer Science, Engineering
financial institution, is in search of a Market Risk Analyst to become a part of their team Job Description Description This position entails assisting the Risk Support Department (RSD) under the Prudential Authority market risk, equity risk in the banking sector, margin requirements, and counterparty credit risk. Responsibilities associated risk categories. Oversee the exposure of the relevant industry to various risk categories regulatory frameworks governing said risk categories. Evaluate institutional risk management practices against