GLOBAL FINANCE MARKET RISK jobs in EUROPE ENGLAND, United Kingdom #4

and Controls Lead Department / Team GroupM Finance Reporting To GroupM UK, CFO and EMEA Risk & Controls Director Location...&A, Group M EMEA finance team, Risk & Compliance and Tax. A Hybrid working model Here at GroupM we are embracing a hybrid...

GroupM

Who we are looking for As an Investment Risk Manager within State Street Global Advisors’ (SSGA) Enterprise Risk..., as well as to adapt to rapidly changing market events with leverage, liquidity or investment risk implications. You will need the...

State Street

Front Office, Finance and/or Risk management. Fluency in English, Spanish is a plus. Expert/Advanced Knowledge.... Highly communicative. People skills. Overview Definition of credit and market risk appetites. Structure and negotiate...

BBVA

Framework, Procurement, Finance and Professional Standards & Risk Management policies, including on-going monitoring... market best practice regarding supplier risk management and assurance, maintaining and sharing thought leadership. To lead...

Clifford Chance

and external experts to shape robust risk strategies that protect and enhance our global operations. As part of this team, you'll...Company Description About Playtech Founded in 1999 and premium listed on the Main Market of the London Stock...

Playtech

and external experts to shape robust risk strategies that protect and enhance our global operations. As part of this team, you’ll...Company Description About Playtech Founded in 1999 and premium listed on the Main Market of the London Stock...

Playtech

Required qualifications, capabilities, and skills Education in finance, business or economics Substantial experience in financial risk..., methodologies and their applications Ability to review risks in investment portfolios including market and liquidity risk metrics...

JPMorgan Chase

teams and other transverse functions. Lead and participate in local/P&C/global risk projects and analyses and communicate..., particularly the London Market/Lloyd's) with increasing levels of accountability. Knowledge of risk management regulatory...

SCOR

Financial Markets Middle Office department cooperates with Head Office to conduct market, credit, operational risk... market risk, credit risk, operational risk, compliance risk of the Financial Markets business, BOC London Branch, BOC (UK...

Bank of China

, market, and client activity drivers of the firm's risk profile allowing them to take actionable and timely risk management... delivers critical regulatory and risk metrics & analytics across risk domains (market, credit, liquidity, operational, capital...

Goldman Sachs

, market, and client activity drivers of the firm's risk profile allowing them to take actionable and timely risk management... delivers critical regulatory and risk metrics & analytics across risk domains (market, credit, liquidity, operational, capital...

Goldman Sachs

hoc basis. About you: Experience within the Credit and/or Political Risk market, either in an underwriting or broking...Primary Details Time Type: Full time Worker Type: Employee Senior Underwriter – Political Risk We are currently...

QBE Insurance

commercial experience, or candidates with finance or credit administration experience. As the Credit Risk Administrator...​EXCLUSIVE NETWORKS | Introduction Exclusive Networks (EXN) is a global cybersecurity specialist that provides...

Exclusive Networks

industry A good understanding of the inter-dependency between TPRM, Legal, Compliance, Risk, Procurement, Finance...The Role Canopius is a global specialty lines (re)insurer. We are one of the top 10 insurers in the Lloyd’s of London...

Canopius

, Corporate and Project Finance and Country and FI Credit Risk Management, Equity Risk Management, Corporate Recovery, Climate... for Treasury activities; - the ongoing oversight and management of the portfolio, market risk, portfolio credit risk modelling...

European Bank for Reconstruction and Development

, Corporate and Project Finance and Country and FI Credit Risk Management, Equity Risk Management, Corporate Recovery, Climate... for Treasury activities; the ongoing oversight and management of the portfolio, market risk, portfolio credit risk modelling...

European Bank for Reconstruction and Development

As below CFA Institute is the world’s largest association of investment management professionals. As a global..., Education, and Employee Assistance Benefits Job Description Summary: About the CFA Institute We’re a global...

CFA Institute