Risk Management jobs in Finance - General
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Finance - General
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Found 47 UK, United Kingdom jobs
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Credit Risk Manager, London
This role is an exciting opportunity for someone with 4 - 6 years of experience to join the Risk Management Group ("RMG") as a Credit risk Manager ...
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Corporate Credit risk - VP/SVP
- Between 7-10years of relevant work experience - Minimum of a bachelor's degree; CFA or another professional qualification (e.g. FRM) - Curre...
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Quant Model Risk Manager (With Python/R/C#) - Market Risk
iKas International are recruiting on behalf of a market renowned top-tier investment banking client who require a Model Risk Manager. In this role ...
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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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Market Risk Lead
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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Liquidity Risk Manager
Responsibilities: Assist the Liquidity Risk function at a Group level in supporting the business by providing risk oversight for its current and fu...
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Investment Risk
The role will have coverage across a variety of asset classes, and different facets of Investment Risk i.e. Market, Liquidity, Counterparty and Eve...
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Finance Risk & Controls Manager
When you work with the UK's most innovative companies, you know you're making a difference. SVB UK (backed by HSBC) is the banking partner to ...
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Senior Sanctions Advisory, FCRC
When you work with the UK's most innovative companies, you know you're making a difference. SVB UK (backed by HSBC) is the banking partner to ...
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Senior Financial Crime Officer
Job Profile Summary: Man Group's Financial Crime Team provides global, firm-wide oversight of all financial-crime related matters. This role sits w...
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Market Risk VP
Market Risk VP City of London Contract £550-£700 per day CER Financial are working alongside a diverse well established mid-tier bank, based in the...
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Investment Risk Manager, Alternatives/Asset Management Platform, London
The Role: The successful candidate will be responsible for data analysis and undertaking investment risk projects from creation to delivery Interr...
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Real Estate Credit Risk Manager (Associate Director & Senior Associate)
Real Estate Credit Risk Manager (Associate Director & Senior Associate) - 18 month Fixed Term Contract A period of growth has created two new vacan...
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Client Manager
RESPONSIBILITIES Manage and control a portfolio of 40-50 factoring and invoice discounting clients with funds in use of up to £2,000,000. Maintain ...
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Lead Investment Risk Specialist
The purpose of this role is to lead, develop and manage the Global Equities investment risk function in London. It's a front office-oriented risk f...
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Senior Quantitative Risk Analyst - Modelling and Counterparty
Skills / Experience Required: Strong knowledge of risk management best practice Investigate, analyse, design and implement risk methods Design and ...
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Associate Director - EMEA Telecoms, Media, and Technology Ratings - London
S&P Global Ratings Associate Director - EMEA Telecom, Media & Technology Ratings - London The Team: S&P Global Ratings' EMEA Telecom, Media & ...
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Senior Prudential Analyst - EMEA Treasury - Global Financial Services PLC - Up to £60,000 - £65,000
Profile Criteria: A candidate with a foundation (min. 1-3 years) of experience in Treasury or Liquidity Risk Management with an understanding of fi...
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Associate, Multi-Asset Investment Risk
Description About this role Title: Associate, Multi-Asset Investment Risk Job Description Business Overview BlackRock's Risk & Quantitative An...
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Credit Quant Analyst / Quant Developer
As a Barclays Quantitative Analyst, you will be developing, maintaining and supporting pricing, risk, scenario and capital calculation libraries in...
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