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Your search has returned 38 vacancies
| Salary | £200 - £220 per annum + Per Day |
|---|---|
| Sector | Accountancy Practice |
| Location | City/Docklands (London) |
| Date Posted | 09/01/2009 |
Market Risk & Product Control Analyst – Commodities ... arisen for an analyst to work with ... Openlink for new products (or derivatives). ... a background in Market Risk or Trading within Capital Markets. You will have read more...
| 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 ... Commodity trading, structured products and FX. ... businesses. 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. 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, implementing system changes for new FX traded products. ... 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...
| 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 ... Commodity trading, structured products and FX. ... involved 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 ... 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 ... 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...
| 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 ... Commodity trading, structured products and FX. ... well established Capital Markets Business. This 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 ... 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 ... 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...
| Salary | £450 - £500 per day |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 05/01/2009 |
The position would suit an experienced Market Risk Manger with broad knowledge. ... in the group market risk oversight team and will see you responsible for overseeing market risk within the international ... working with Senior Market Risk Managers across the business to assess controls and processes across the function. The position has been designed to support the Head of Oversight with the objective of improving the market risk function in the ... of experience in market risk management and understand treasury products in some depth. read more...
| Salary | £40000 - £45000 per annum + Bonus + Benefits |
|---|---|
| Sector | Investment Management |
| Location | Central/West End (London) |
| Date Posted | 05/01/2009 |
Salary Level - £45K Basic + Bonus ... Investment Management Business – Top Tier Organisation ... the Manager 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 ... work alongside 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 equity ... 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 and/or read more...
| Salary | £35000 - £40000 per annum + Bonus + Benefits |
|---|---|
| Sector | Insurance |
| Location | Central/West End (London) |
| Date Posted | 05/01/2009 |
Excellent position within an established insurance business. ... Credit risk analysis of brokers ... the global insurance market. ... an experienced Credit Analyst to carry out financial credit risk analysis or their counter parties. The position will involve analysing brokers and cover holders who create a potential credit or business risk to the organisation's ... involve the credit risk analysis of the financial security of brokers and cover holders, reviewing income statements, balance sheets and cash flow statements. This is an excellent opportunity to move into a responsible credit risk position where you ... background within credit risk analysis and be read more...
| Salary | £40000 - £45000 per annum + Bonus + Benefits |
|---|---|
| Sector | Banking |
| Location | Central/West End (London) |
| Date Posted | 08/01/2009 |
Financial institutions credit risk – banks and asset managers. ... for both credit risk monitoring along with annual reviews and internal ratings on an assigned portfolio. You will be located within the global credit risk team and respond to queries from middle office for trade approvals, limit requests working with compliance and legal as required. The role will involve meeting with counterparties, external agency lenders, ratings agencies to carry out credit risk due diligence as ... for this credit risk position you will have knowledge of financial markets or wholesale credit risk and a good working knowledge of treasury products. You will have analysed banking institutions and asset managers and understand the risks embedded in such organisations. You will be familiar with legal documentation and regulatory issues and understand financial statements and accounting terminology. You will also have covered derivative products and repo and read more...
| Salary | £12 - £15 per hour |
|---|---|
| Sector | Banking |
| Location | City/Docklands (London) |
| Date Posted | 08/01/2009 |
Credit Risk Administrator role in a well known broker dealer ... within the credit risk team of this well known UK Broker Dealer. There are three other analysts in the team ... Marking to market unsettled trades using read more...
| Salary | £46000 - £85000 per annum + bonus + benefits |
|---|---|
| Sector | Banking |
| Location | City/Docklands (London) |
| Date Posted | 06/01/2009 |
Opportunity for an experienced Fixed Income Derivatives Middle Office Specialist. ... and loss and risk of portfolios of exotic products. This role is specifically focused on fixed income derivatives and will you working with various interest rate exotics. You should have advanced knowledge of market risk management of IR ... and loss and risk for a derivatives read more...
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