Risk Management jobs in Finance - General
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Found 56 UK, England jobs
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Head of Global Credit Underwriting
Our client is a leading, world renowned Global Commodity trading company. The Credit department is an independent function which manages, monitor's...
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Senior Operational Risk Analyst
Our client is an Oil trading and supply company based in Central London. We are seeking an experienced Operational Risk Analyst to join the London ...
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Rating Analyst or Associate, Structured Finance
S&P Global Ratings Rating Analyst or Associate, Structured Finance The Role: S&P Global Ratings is seeking an exceptional professional with strong ...
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Junior Trade & Transaction Reporting Analyst
This is a junior banking analyst role which will focus on regulatory reporting and transaction reporting Role details Title: Trade and Transaction ...
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Basel IV Analyst
As a Barcla ys CVA Analyst (FRTB), yo u will play a key part of the team providing professional risk analysis and delivery of a quality end product...
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Credit Risk Analyst - Commodities (Agriculture & Metals)
Join our team in London as a Credit Risk Analyst and play an integral role in supporting trading and financing opportunities originated by Macquari...
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Credit Risk Manager
The Group Credit Risk team works in close coordination with the other risk and corporate functions across the Group and has significant interaction...
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Market Risk Specialist (Operations & Analytics)
Centrica Energy Marketing & Trading (EM&T) is the trading arm of Centrica. We trade LNG, gas, power, and energy attributes - and connect independen...
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Quant Investment Risk Analyst
I am working with one of the largest Pension Scheme Provider on an Investment Risk Manager role. This role will report to the Head of Investment Ri...
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Associate - International Public Finance - London
The Role: Associate - Sovereign and International Public Finance Ratings The Location: Ropemaker Street, London The Team: We are looking for a high...
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Investment Risk (associate level) at an Alternatives/Asset Management Platform
The Role: The successful candidate will be responsible for data analysis and undertaking investment risk projects Monitor key risk indicators (KRI...
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FI/NBFI Credit Manager - Institutional Banking
This role will be responsible for credit matters in the Institutional Banking Department by working with FI/NBFI Relationship Managers to prepare c...
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Treasury Models
As a Barclays Treasury Models Senior Manager, you will work as part of our Independent Validation Unit (IVU) and be accountable for IRRBB model val...
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Retail Validation UK
As a Barclays Retail Validation Senior Manager you will be responsible for being lead validator for a wide range of models. These models/frameworks...
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Quantitative Investment Risk Analyst, AVP (Coding)
Location - Boston, MA or London The Investment Risk Analyst, AVP position is part of the State Street Global Advisors Investment Risk Team. The pri...
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Counter Party Credit Risk Management
Responsibilites: - Portfolio risk management of counterparty risk exposures - Quantitative and qualitative analysis of counterparty risk - Develop...
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Operational Risk Manager
Canada Life UK looks after the retirement, investment and protection needs of individuals, families and companies. We help to build better futures ...
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Market Risk Manager (FX & EM) - Vice President
Job title: Market Risk Manager (FX & EM) - Vice President Department: Risk Management Location: London Company overview Nomura is an Asia-based fin...
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2023 Risk and Compliance Analyst - Graduate Program
Overview As a Campus Graduate Analyst, your responsibilities include shadowing various staff members, participating in learning experiences, attend...
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