LIQUIDITY RISK MANAGER jobs in MIDDLESEX, United Kingdom #2

of relevant experience in a CIB/BEC role, either in Front Office, Finance and/or Risk management. Fluency in English, Spanish... risk appetites. Structuring and negotiation of requests for Asset Allocation limits and sub-limits. Structuring...

BBVA

utmost integrity, and in an environment where everyone is seen, heard and feels like they belong. In Credit & Fraud Risk.... Find your place in risk and analytics on #TeamAmex. How will you make an impact in this role? Commercial Rating and Underwriting...

American Express

where non-delivery risk exists, and among the securities portfolio held for firm-wide liquidity. In addition to determining... together. Commercial Rating and Underwriting (CRU) sits within the Credit & Fraud Risk division and forms a key component...

American Express

risk and liquidity risk Manage and execute the valuation assessment of an allocated portfolio of client funds of complex...We are seeking a highly motivated and experienced Valuation and Investment Risk Specialist to join our growing team in...

Carne Group

Functions, and as assigned by GCRO and UK General Manager. Assist the three specialised risk management committees (risk..., market, interest rate, liquidity and operational risks and other risks that UK office face. Promote risk culture...

People First

, market, interest rate, liquidity, and operational risks. Foster a strong risk culture and governance framework. Customer... as a Line Manager, from Clerk to Senior Risk Manager Ensure continuous staff training to meet requirements. Requirements...

Montpellier Resourcing

team are responsible for maintaining our risk frameworks and risk appetite across liquidity & funding risk, interest rate... of Treasury financial risk management Experience with either liquidity, capital or interest rate risk, whilst having an overall...

Nationwide

, please read on. Role Purpose (-%Role purpose) This role is to undertake a variety of tasks within the Investment Risk Team... and to measure, monitor, analyse and report investment risks (market, liquidity, counterparty credit, leverage, valuation risks...

Local Pensions Partnership

’s mission through in-depth market and liquidity risk analysis and reporting. You will be required to perform risk monitoring..., or corporate portfolio risk measurement requirements. Monitor, analyse and report market risk, liquidity risk, leverage...

Invesco

Active Liquidity Network connects internal applications for treasury, risk, payments and working capital with vital external... of Professional Services individuals who help client’s gain more control over their treasury, risk & liquidity operations...

Kyriba

Risk Solutions Responsibilities & Impact: This individual is an experienced Business Leader and General Manager... Market Risk, Counterparty Credit Risk, Liquidity Risk, Regulatory Risk, and XVA Buyside Expertise Practitioner experience...

S&P Global

and liquidity risk management; Recovery and resolution planning; Regulatory reporting; UK CRR; CRD; Prudential Regulation Authority...Financial Services Prudential Risk Advisory and Assurance Associate Director We are searching for an experienced...

RSM International

, Job Share Job Description Summary . Job Description JOB TITLE: Valuations Manager SALARY: £78,849 - £87,610 LOCATION... About this opportunity As Valuations Manager within Finance Valuation Control within Commercial Banking Finance, you'll have the...

Lloyds Banking Group

, and we are looking for an experienced Senior Relationship Manager, based out of London. What is Enterprise Relationship Management Team responsible..., primarily banks and brokers, where FT is a client for their services (such as providers of liquidity, operational trade support...

Franklin Templeton Investments

management firm with c. €31 billion in assets under management. Hayfin focuses on delivering attractive risk-adjusted returns... support is required to ensure the growth can be managed effectively. The Senior Treasury Manager will participate in...

Hayfin Capital Management

Finance Manager (Month End / FP&A) £65,000 - £75,000 + discretionary bonus Hybrid (4 days office / 1 day wfh pw...) Central London offices ACA Qualified - From Practice 6 months + in Industry Position Overview The Finance Manager...

Investigo

Business and Control & Support functions of the wider group, the Business Risk Manager will be a key contact and go to person... breaches and risk events immediately. Ensuring clear communication to manager and escalation where necessary. Cooperating...

Marex