Market Risk jobs

Found 18 jobs
    • London
    • Negotiable
    • Posted 5 days ago

    We have a current opportunity for a Trade Control Analyst on a permanent basis. The position will be based in London. KEY RESPONSIBILITY AREAS The main duties and responsibilities of the a Trade Control Analyst are: * Perform daily validation activities, making sure all physical and financial ene...

    • London
    • Negotiable
    • Posted 9 days ago

    Position: Trade Control Analyst Location: London, UK Overview: A leading global energy trading firm is seeking a Trade Control Analyst to join their team in London. This role involves daily validation of physical and financial energy transactions, ensuring compliance with internal and external re...

    • New York
    • Negotiable
    • Posted 10 days ago

    We are currently working with a forward-thinking company, lead by a founder who has extensive experience building and scaling companies. The firm is changing the crypto landscape and has dedicated to building scalable infrastructure projects on Solana, with a strong focus on DeFi applications. Th...

    • New York
    • US$150000 - US$190000 per year
    • Posted 13 days ago

    A leading Investment Bank in NYC is looking to hire a VP level candidate specialized in Counterparty Risk model development to join their Quantitative Counterparty Risk Analytics team. This hire will report directly to the Head of Risk Analytics and be responsible for the development and methodol...

    • New York
    • US$100000 - US$140000 per year
    • Posted 13 days ago

    A leading Investment Bank in NYC is looking to hire an Associate level candidate specialized in Counterparty Risk model development to join their Quantitative Counterparty Risk Analytics team. This hire will report directly to the Head of Risk Analytics and be responsible for the development and ...

    • New York
    • US$120000 - US$185000 per year + + discretionary bonus
    • Posted 16 days ago

    An industry-leading alternative asset management firm is seeking an Investment Risk Manager within their analytical solutions team. The firm manages ~$80b across their credit and real estate investing platform and are seeking candidates with strong market risk skills specific to fixed income (cre...

    • New York
    • US$150000 - US$200000 per year
    • Posted 20 days ago

    A leading Investment Bank and Head of Fixed Income Market Risk is looking to add a VP level candidate to their team covering Traded Credit. This individual will be responsible for working with traders to asses risk usage and limit usage for the firm's Credit Products line of business and communic...

    • New York
    • US$100000 - US$130000 per year
    • Posted 20 days ago

    A leading Investment Bank, who has significant growth their Liquidity Risk team over the last 12 months is looking to hire an Associate level candidate on their Liquidity Risk Management team to oversee Liquidity Risk arising within their US Legal Entities. This individual will sit in the greater...

    • Dallas
    • Negotiable
    • Posted 23 days ago

    Job Title: Turnaround and Restructuring Consultant Location: NYC, Chicago, or LA Company Overview: Our client, a dynamic and growing turnaround and restructuring firm, specializes in providing strategic solutions to distressed businesses. They are seeking a talented and experienced Turnaround and...

    • New York
    • US$150000 - US$200000 per year
    • Posted 23 days ago

    A leading Investment Bank and Head of Fixed Income Market Risk is looking to add a VP level candidate to their team covering Traded Credit. This individual will be responsible for working with traders to asses risk usage and limit usage for the firm's Credit Products line of business and communic...

    • Dubai
    • Negotiable
    • Posted 25 days ago

    # Macro Risk Manager - Forge Ahead in the Dynamic Finance Sector Embark on a career-defining journey with an esteemed financial institution situated at the heart of Dubai. We are seeking a tenacious and analytically gifted individual to embrace the role of Macro Risk Manager. This pivotal positio...

    • Charlotte
    • US$100000 - US$130000 per year
    • Posted 27 days ago

    A leading Investment Bank, who has significantly grown their Interest Rate Risk team over the last 12 months is looking to hire an Associate level candidate on their IRRBB Management team to oversee Interest Rate Risk arising within their US Legal Entities. This individual will sit in the greater...

    • New York
    • US$100000 - US$130000 per year
    • Posted 27 days ago

    A leading Investment Bank, who has significant growth their Liquidity Risk team over the last 12 months is looking to hire an Associate level candidate on their Liquidity Risk Management team to oversee Liquidity Risk arising within their US Legal Entities. This individual will sit in the greater...

    • New York
    • US$160000 - US$190000 per year + + discretionary bonus
    • Posted 27 days ago

    A large international investment bank undergoing tremendous growth in their trading business has created a new market risk function to oversee strategic initiatives. As a result of the growth in their trading arm, this market risk function will focus on transformation initiatives across market ri...

    • Frankfurt am Main
    • Verhandelbar
    • Posted 30 days ago

    Unser Kunde, ein dynamisches Unternehmen im Bereich des mobilen Bankings, sucht einen (Junior) Risikomanager (m/w/d) fรผr Markt- und Liquiditรคtsrisiken. In dieser Position sind Sie direkt an der Steuerung der Risiken des Unternehmens beteiligt. Was Sie mitbringen: Abgeschlossenes Master-Studium in...

    • Frankfurt am Main
    • Verhandelbar
    • Posted 30 days ago

    Unser Kunde, ein dynamisches Unternehmen im Bereich des mobilen Bankings, sucht einen (Junior) Risikomanager (m/w/d) fรผr Markt- und Liquiditรคtsrisiken. In dieser Position sind Sie direkt an der Steuerung der Risiken des Unternehmens beteiligt. Was Sie mitbringen: Abgeschlossenes Master-Studium in...

    • City of London
    • Negotiable
    • Posted about 1 month ago

    Responsibilities Daily reconciliation of internal data to external parties via position, trades, cash, NAV, and fees Assisting in the automation of daily task and procedures Prematching of trades and fails management for various markets Supporting clearing and settlement processes across asset cl...

    • City of London
    • Negotiable
    • Posted about 1 month ago

    Key Responsibilities & Accountabilities: Maintain and revise risk monitoring reports (market risk, credit risk, liquidity risk); proficiency in Visual Basic programming or Python required. Trade modelling and validation. Configure and model forward pricing curves. Design, conduct, and analyze str...

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