Internal recruitment roles at Witan Jardine



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Operational Risk Jobs matching keyword(s): Senior Controls Assessment and Operational Risk

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Your search has returned 38 vacancies


Salary £40000 - £50000 per annum + bonus + benefits
Sector Insurance
Location Central/West End (London)
Date Posted 05/01/2009

Operational Risk Analyst managing the risk matrix. ... the Head of Risk Management this temporary position has been designed to provide guidance at a business unit level as to developments with regard to the risk register and matrix. The position will assist to minimise operational risk exposure across this insurance business. The successful applicant will be instrumental in managing operational risk awareness across the ... mapping out, documenting and testing risk controls. This role will see you liaising with internal audit and finance to manage, test and implement new risk controls. ... The risk appetite statement will be linked to the operational risk management framework and in turn to the internal capital assessment model liaising with the actuarial departments and finance. ... level or equivalent and have a good working understanding of the UK non-life insurance industry and or the Lloyd's of London Syndicate framework with a good understanding of underwriting activity. You will have worked within an operational risk management position before. read more...

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Salary £55000 - £70000 per annum + bonus + benefits
Sector Insurance
Location Central/West End (London)
Date Posted 05/01/2009

Operational risk analysis and risk register development. ... the Head of Risk Management. ... the Head of Risk Management this position has been designed to provide guidance at a business unit level, aiming to implement and drive operational risk policies and practises that will minimise operational risk exposure across this insurance business. The successful applicant will be instrumental in embedding an operational risk awareness and develop a operational risk register across their ... mapping out, documenting and testing risk controls. You will have an leadership role in defining risk appetite and tolerance, liaising with internal audit and finance to manage and test and implement new risk management controls. ... The risk appetite statement will be linked to the operational risk management framework and in turn to the internal capital assessment model liaising with the actuarial departments and finance. Working with the business, you will work with the business to develop action plans to manage operational risk within pre-agreed tolerance and monitoring the action plan and deliver-ables. ... carrying out routine and ad hoc reviews, producing bespoke operational risk reports as directed by the risk committee. In order to be successful in this role you will need to be educated to degree level or equivalent and have a good working understanding of the UK non-life insurance industry with a good understanding of underwriting activity. You Will have worked in internal audit, operational risk or compliance within read more...

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Salary £50000 - £60000 per annum + bonus + benefits
Sector Banking
Location Central/West End (London)
Date Posted 05/01/2009

Flat structure with excellent exposure to the business. ... Market risk control position managing ... trading, structured products and FX. ... in capital markets and investment banking, as well as financial services. The capital markets business trade standard and structured products, credit derivatives, equity, foreign exchange and commodity products. ... the Head of Risk this position will see you responsible for monitoring and managing the activities of a team of Market Risk Control Analysts. You will be responsible for managing the team, carrying out performance reviews, recruitment and developing each individual. ... overseeing adequate internal controls for the FX and FX spot business, identifying problems areas in the trading process and setting warning signals and reviewing and setting trading limits and implementing system changes for new FX traded products. Working with compliance and operational risk to manage business risk, you will also be presenting at the pricing and valuation committees as ... work at a Senior Analyst level position or a Manager level position within market risk. You will have a strong knowledge of front office trading systems and have worked extensively with FX option and spot products. read more...

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Salary £50000 - £60000 per annum + bonus + benefits
Sector Banking
Location Central/West End (London)
Date Posted 19/12/2008

Flat structure with excellent exposure to the business. ... Market risk control position managing ... trading, structured products and FX. ... business trade standard and structured products, credit derivatives, equity, foreign exchange and commodity products. ... the Head of Risk this position will see you responsible for monitoring and managing the activities of a team of Market Risk Control Analysts. You will be responsible for managing the team, carrying out performance reviews, recruitment and developing each individual. ... overseeing adequate internal controls for the FX and FX spot business, identifying problems areas in the trading process and setting warning signals, reviewing and setting trading limits and implementing system changes for new FX traded products. Working with compliance and operational risk to manage business risk, you will also be presenting at the pricing and valuation committees as ... work at a Senior Analyst level position or a Manager level position within market risk. You will have a strong knowledge of front office trading systems and have worked extensively with FX option and spot products. read more...

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Salary £45000 - £55000 per annum + benefits
Sector Legal
Location City/Docklands (London)
Date Posted 09/01/2009

Excellent opportunity has arisen within a successful and growing international law firm. ... Experienced Risk and Compliance Manager required. ... within a successful and growing international law firm for an experienced Risk and Compliance Manager. ... directly to the risk management committee this role has direct responsibility for monitoring, enforcing and implementing the firms risk and anti-money laundering policies. In addition this opportunity will take charge of reporting compliance issues on a regular basis to the risk management committee and senior management. ... recruit an experienced Risk and Compliance Manager with skills gained in a similar environment. Due to the high profile nature of this role, strong interpersonal skills and attention to detail read more...

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Salary Excellent Salary & Benefits Package
Sector Banking
Location Central/West End (London)
Date Posted 06/01/2009

Excellent opportunity to move into a front office-focused credit position. ... Credit risk capital assessment and calculation for senior management. ... Excellent remuneration package and exposure throughout the ... well-established international investment and corporate banking business based in London. They have an opening for an individual to work in a team responsible for the credit risk calculations under Basel II rules. The team are responsible for overseeing the application of FSA rules, producing specification documents and conducting user testing. ... located within credit risk analytics, responsible for monthly capital requirement calculation and reporting. It will see you involved in project managing the feeds from the Basel II system, regression testing and project management. You will be involved in the credit risk calculation for derivatives, repo-style trades and securitisation. ... in a credit risk analytics position. You will have a solid understanding of the trading cycle and have good Microsoft Excel (ideally VBA) and Access skills. You will ideally have a strong business analysis background, great communication skills and it would be read more...

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Salary £85000 - £100000 per annum + Bonus + Benefits + Share Scheme
Sector Banking
Location City/Docklands (London)
Date Posted 06/01/2009

Senior Risk Officer role within a rapidly growing boutique Investment Bank ... sit at a senior level within a rapidly growing boutique Investment Bank. This bank have a specialist sector focus and concentrate their efforts within the Commodities space. They offer corporate finance, equity research, broking and also have a presence in one of the famous London commodity exchanges through their physical metals arm. The bank has shown over 50% growth in the last year, and expect to see ... a Head of Risk and a Risk Manager in place, but need a senior and experienced credit and risk manager to develop the existing risk framework. You will be responsible for managing all risks that the bank are exposed to, but they will have a particular focus on credit risk due to market volatility and recent large cap defaults. You will also manage the credit risk for the banks commodity trading and physical metals merchant, ... credit focused role and have a good understanding of corporate finance, specifically acquisition finance, and also commodity trading and commodity derivatives. Experience of managing a team of analysts and be comfortable working with senior directors on a read more...

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Salary £55000 - £85000 per annum + bonus + benefits
Sector Banking
Location City/Docklands (London)
Date Posted 06/01/2009

Senior role managing credit risk on a portfolio of Pension Funds and Insurance Companies. ... This is a senior role within a newly created holistic risk department. You will be actively managing and mitigating the credit risk on a portfolio of Pension Fund and Insurance counterparties. You will be expected to use your experience and expertise in this field to proactively reduce the risk in their portfolio. ... in the process and will be aligned to your previous experience). In time, you will become an expert in your region's political and economic individuality and will use that understanding to exploit new business opportunities and mitigate the risk in their own ... but also strategy and risk appetite in order to understand their other trading risks. Credit officers will use their understanding of traded products and derivatives to look at a counterpart's trading book and understand where the credit risks lie and proactively reduce risk through re-structuring and strengthening of legal and trading documentation, limit setting and credit policies. ... decision making process and in time, teach them how a director of credit risk will make their ... experience in credit risk analysis of a portfolio of Pension Funds or Insurance Companies. This experience will be gained in a reputable financial institution or rating agency. You should have an understanding of legal and trading documentation and have experience working with capital markets products and transactions. Candidates with read more...

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Salary £50000 - £65000 per annum + Bonus + Benefits
Sector Banking
Location Central/West End (London)
Date Posted 05/01/2009

Flat structure with excellent exposure to the business. ... Market risk control position managing ... trading, structured products and FX. ... business trade standard and structured products, credit derivatives, equity, foreign exchange and commodity products. ... the Head of Risk this position will see you responsible for monitoring and managing the activities of a team of Market Risk Control Analysts. The team are responsible for overseeing internal controls for the FX and FX spot business, identifying problems areas in the trading process and setting warning signals. They also review and sett trading limits, ... work at a Senior Analyst level position or a Manager level position within market risk. You will have a strong knowledge of front office trading systems and have worked extensively with FX option and spot products. read more...

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Salary £Excellent salary + benefits
Sector Banking
Location Central/West End (London)
Date Posted 05/01/2009

Excellent opportunity to move into a front office-focused credit position. ... Credit risk capital assessment and calculation for senior management. ... Excellent remuneration package and exposure throughout the ... well-established international investment and corporate banking business based in London. They have an opening for an individual to work in a team responsible for the credit risk calculations under Basel II rules. The team are responsible for overseeing the application of FSA rules, producing specification documents and conducting user testing. ... located within credit risk analytics, responsible for monthly capital requirement calculation and reporting. It will see you involved in advising the front office on the structure of new deals and senior management on relevant thresholds and deadlines. You will be involved in the credit risk calculation for derivatives, repo-style trades and securitisation. ... position with credit risk. The firm will also consider an individual from a counter-party credit risk background who has read more...

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