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Your search has returned 39 vacancies
| Salary | £45000 - £55000 per annum + bonus + benefits |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 10/10/2008 |
Involvement in the design of risk and control frameworks. ... growing asset management business. ... directly to the Manager of Derivatives and Alternative Investment this position has been designed to support the development and implementation of a risk management framework across the derivatives and alternative investment business. ... are a well-established business. ... regular analysis or risk across the business (strategic, regulatory, operational, project and financial risk management). You will be heavily involved in the design risk frameworks and implementing ... having worked in risk, audit or compliance. You will have a strong understanding of process audit, identifying business risks and understanding control read more...
| Salary | £70000 - £80000 per annum + bonus + benefits |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 29/09/2008 |
Manager of controls position leading a team of four staff. ... a leading asset manager. ... leading fund management business is one of the most recognised names in the City. They are one of the UK's largest active fund mangers and they provide a broad range of investment offerings, from multiple cash products through to alternatives such as hedge funds and private equity. With over nearly £100 billion under management they are a well-established business. ... the Head of Risk Management the role will manage a team of four staff. It will see the successful Manager responsible for setting a high level approach to providing control assurance, policies defining overall approach and methodology, team roles and responsibility. The control team provide guidance for key controls across equity, fixed income, property, hedge funds and offshore funds. The position will involve managing and testing existing controls and setting new measures to ensure that the firm manages risk indicators and governance ... of asset management business risks. You will have read more...
| Salary | £70000 - £80000 per annum + bonus + benefits |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 15/09/2008 |
Manager of controls position leading a team of four staff. ... a leading asset manager. ... leading fund management business is one of the most recognised names in the City. They are one of the UK's largest active fund mangers and they provide a broad range of investment offerings, from multiple cash products through to alternatives such as hedge funds and private equity. With over nearly £100 billion under management they are a well-established business. ... the Head of Risk Management the role will manage a team of four staff. It will see the successful Manager responsible for setting a high level approach to providing control assurance, policies defining overall approach and methodology, team roles and responsibility. The control team provide guidance for key controls across equity, fixed income, property, hedge funds and offshore funds. The position will involve managing and testing existing controls and setting new measures to ensure that the firm manages risk indicators and governance ... of asset management business risks. You will have read more...
| Salary | £450 - £550 per day |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 15/09/2008 |
Contract position £450 - £550 per day. ... Senior risk position working with risk control and risk management. ... the Head of Risk and Compliance this position will provide advice to the business with respect to the identification of financial risks. Providing the Executive Committee with information to contribute to a strong governance structure and culture within the business. The position sits within the risk and control team, responsible for providing an overview of UK business risk, working on the ... working with finance, risk, compliance and control functions. Setting up a high level approach to financial risk management, managing capital ... background in operational risk and control, portfolio risk management or compliance read more...
| Salary | £45000 - £55000 per annum + bonus + benefits |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 02/10/2008 |
Salary level - £45,000 - £55,000 basic plus bonus. ... Leading investment management business – top tier ... office and Portfolio Managers. ... Reporting to the Manager of Investment Risk and interacting with Fund Managers and sales and marketing. This role is responsible for producing accurate and timely risk reports extracting, manipulating and ensuring integrity of portfolio and benchmark data. Generating and analyse risk data from risk systems and analysing whether positions/risks are consistent with ... alongside the Portfolio Risk Manager and where appropriate provide risk analysis and commentary for client reports. The role will be responsibility for reporting key risk summaries to fund managers and challenging portfolio ... worked in a risk reporting position within performance and or investment risk management. You will need to have practical experience as an Investment Risk Analyst reviewing equity read more...
| Salary | £250 - £300 per day |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 01/10/2008 |
Competitive salary and excellent work environment. ... Leading investment management business – top tier ... office and Portfolio Managers. ... Reporting to the Manager of Investment Risk and interacting with Fund Managers and sales and marketing. This role is responsible for producing accurate and timely risk reports extracting, manipulating and ensuring integrity of portfolio and benchmark data. Generating and analyse risk data from risk systems and analysing whether positions/ risks are consistent with ... alongside the Portfolio Risk Manager and where appropriate provide risk analysis and commentary for client reports. The role will be responsibility for reporting key risk summaries to fixed income fund managers and challenging portfolio ... worked in a risk reporting position within performance and or investment risk management. You will need to have practical experience as an Investment Risk Analyst reviewing equity read more...
| Salary | £250 - £300 per day |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 25/09/2008 |
Competitive salary and excellent work environment. ... Leading investment management business – top tier ... office and Portfolio Managers. ... Reporting to the Manager of Investment Risk and interacting with Fund Managers and sales and marketing. This role is responsible for producing accurate and timely risk reports extracting, manipulating and ensuring integrity of portfolio and benchmark data. Generating and analyse risk data from risk systems and analysing whether positions/ risks are consistent with ... alongside the Portfolio Risk Manager and where appropriate provide risk analysis and commentary for client reports. The role will be responsibility for reporting key risk summaries to fixed income fund managers and challenging portfolio ... worked in a risk reporting position within performance and or investment risk management. You will need to have practical experience as an Investment Risk Analyst reviewing equity read more...
| Salary | £45000 - £55000 per annum + bonus + benefits |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 25/09/2008 |
Salary level - £45,000 - £55,000 basic plus bonus. ... Leading investment management business – top tier ... office and Portfolio Managers. ... Reporting to the Manager of Investment Risk and interacting with Fund Managers and sales and marketing. This role is responsible for producing accurate and timely risk reports extracting, manipulating and ensuring integrity of portfolio and benchmark data. Generating and analyse risk data from risk systems and analysing whether positions/risks are consistent with ... alongside the Portfolio Risk Manager and where appropriate provide risk analysis and commentary for client reports. The role will be responsibility for reporting key risk summaries to fixed income fund managers and challenging portfolio ... worked in a risk reporting position within performance and or investment risk management. You will need to have practical experience as an Investment Risk Analyst reviewing equity read more...
| Salary | £65000 - £85000 per annum + bonus + benefits |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 10/10/2008 |
Manager of a team of performance and risk analytical staff. ... for institutions asset managers. ... of Performance and Risk Analytics this position will see you responsible for managing a team of Risk and Performance Analysts, responsible for ongoing servicing of a range of clients within the investment management sector. You will be responsible for managing market risk and portfolio reporting ... of a Consultative Risk Manager. It will see you responsible for managing a performance and risk team to delivering to both external and internal clientele. You will network and work closely with clients, building a range of bespoke performance and risk reporting methodologies to ... an experienced Investment Risk Manager with a background in team leadership, management and development. Ideally CFA or FRM qualified, you will have a strong technical knowledge with respect to risk management, global securities and regulatory policies. You may come from an investment management portfolio software vendor. You will have practical experience of performance measurement, risk and investment risk methodology. You will read more...
| Salary | £65000 - £85000 per annum + bonus + benefits |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 03/10/2008 |
Manager of a team of performance and risk analytical staff. ... for institutions asset managers. ... of Performance and Risk Analytics this position will see you responsible for managing a team of Risk and Performance Analysts, responsible for ongoing servicing of a range of clients within the investment management sector. You will be responsible for managing market risk and portfolio reporting ... of a Consultative Risk Manager. It will see you responsible for managing a performance and risk team to delivering to both external and internal clientele. You will network and work closely with clients, building a range of bespoke performance and risk reporting methodologies to ... an experienced Investment Risk Manager with a background in team leadership, management and development. Ideally CFA or FRM qualified, you will have a strong technical knowledge with respect to risk management, global securities and regulatory policies. You may come from an investment management portfolio software vendor. You will have practical experience of performance measurement, risk and investment risk methodology. You will read more...
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