CAPITAL AND RISK MODEL jobs in MIDDLESEX, United Kingdom #4

Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant... Market Risk Manager to join our high profile client. Our client is a well-known major global exchange...

Quant Capital

Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant... Market Risk Manager to join our high profile client. Our client is a well-known major global exchange...

Quant Capital

Quant Risk Manager Hybrid 3 days per week Quant Capital is urgently looking for a Quant Risk Manager to join our high... profile client. Our client is a well-known major global exchange. We are looking for a Risk Manager to shape risk...

Quant Capital

and effective risk-proportionate financial crime framework across Amazon Payments UK and Amazon Capital Services Limited... applicability of the RCS policies and procedures, and the three lines of defence model for managing financial crime risk. To manage...

Amazon

. Key responsibilities include evaluation of model risk, reporting of market risk, distributing the market risk reports... Model Development, Model Validation, Capital Management and Front Line Units, to identify and appropriately escalate issues...

Bank of America

, and standards, and implementing new/complex product approval processes, analysis of model risk, analysis and reporting of market...Job Description: Job Title: Global Markets Risk Manager Corporate Title: Up to VP Location: London Company...

Bank of America

Connect to your Industry The Front Office Risk & Controls Team forms part of Deloitte's Risk Advisory Practice... and is a centre of excellence, supporting large global financial institutions in establishing effective governance, risk management...

Deloitte

and Finance (e.g. Regulatory Reporting) and Model Risk management. What you will be doing Contribute to audits over Prudential... / Financial Risk, Model Risk management and remediation areas respectively, using the support of Starling's in-house team and co...

Starling Bank

such as Prudential, Treasury and Finance (e.g. Regulatory Reporting) and Model Risk management. What you will be doing Contribute... to audits over Prudential / Financial Risk, Model Risk management and remediation areas respectively, using the support...

Starling Bank

within the equities product area. Main responsibilities include 2nd line responsibilities of margin models, model risk... within parameters and/or protect the firm's capital; this may include prompt communication with 1st line team on clients risk parameters...

Marex

, capital, and/or model risk would be advantageous. Exceptional communication and presentation skills, adept at conveying...Senior Treasury Risk Manager: An exciting opportunity has arisen for an experienced Treasury Risk manager...

Merje

Connect to your Industry Market Risk is one of the major risk types in Financial Institutions, primarily the Capital... Risk Capital amounts to anywhere from 15% to 25% of a bank's total capital requirement. The drivers of market risk and the...

Deloitte

and integrated part of our CFO Advisory business - leading relationships and supporting our clients in their capital markets.... Connect to your career at Deloitte Deloitte drives progress. Using our vast range of expertise, that covers audit, risk...

Deloitte

of the Group’s Internal Capital and Risk Assessment (ICARA) Assist and develop the Group’s Key Risk Dashboard... development and embedding of the Risk Management Framework across the Group. To lead in the day-to-day operation of the Group...

Evelyn Partners

Hybrid role based in London Role Overview 🚀 We want to hire a highly technical Credit Risk Strategy Analyst... to take responsibility for developing credit risk strategies that balance customer growth targets (volume) with credit risk while optimising...

Uncapped

of risk in other types of financial institutions to Wise's business model, get into the details to design a meaningful stress... risk modelling), capital (required) & liquidity (preferred) requirements calculation, external benchmarking Experience...

Wise

Job Description: The Risk division is responsible for credit, market and operational risk, model risk, independent... liquidity risk, and insurance throughout the firm. The Goldman Sachs Group, Inc. is a leading global investment banking...

Goldman Sachs