MARKET RISK ANALYST jobs in EUROPE ENGLAND, United Kingdom #3

's financial strategy? Boohoo Group is seeking a dynamic and talented Credit Risk Analyst to join our innovative team.... If you have a passion for numbers, a keen eye for trends, and the desire to shape the future of credit risk management, then this is the...

Boohoo

Quantitative Analyst - Equity Risk Quant £1,000- £1,200 per day inside IR35 (negotiable) 6 Month Initial Contract... teams, and market risk managers to implement and maintain market risk models. You'll make key analytical decisions regarding...

Source Group International

Senior Credit Risk Analyst- Nottingham (Hybrid 2 days a week)- £50K- £60K My Client is on the search for a Senior... Credit Risk Analyst to be responsible for driving insight on credit risk strategies using varying data approaches; regularly...

Merje

Quantitative Analyst - Equity Risk Quant £1,000- £1,200 per day inside IR35 (negotiable) 6 Month Initial Contract... teams, and market risk managers to implement and maintain market risk models. You'll make key analytical decisions regarding...

Source Group International

Quantitative Analyst - Equity Risk Quant ~£1,000-£1,100 per day inside IR35 (negotiable) 6 Month Initial Contract.... You'll act as the SME liaising directly with front office, tech teams, and market risk managers to implement and maintain...

Source Group International

Eames Consulting have recently partnered with a general insurer in search for a Catastrophe Analyst.../aggregation tools, however anyone with at 3+ years experience in the market is encouraged to apply. For more information, feel...

Eames Consulting

their ongoing development. Maintain the investment risk market analytics dataset Participation in cross-departmental initiatives... of periodic risk reports Undertaking of independent research aimed at uncovering portfolio/market/liquidity risk insights...

M&G

, has a part to play in this. Property Risk is a vital part of the Risk Community, working closely with Chartered Surveyors... experience cases to ensure that they are within our risk appetite. You’ll need to be able to support and coach colleagues...

Nationwide

function in Credit Risk across the NewDay card products and lending portfolios helping develop analytical ways to identify..., understand, and run credit risk on our portfolios. They will be investigating our exposure to different kinds of credit risk...

NewDay

Market Risk in recognising model output. Support Market Risk in back-testing for model calibration validation purposes.... Developing complex models, methodologies, libraries, forward curves, etc. Support the Market Risk, Trade Control, Treasury...

Smartest Energy

into portfolio and market movements along with the associated provision fluctuations. Insight includes developments of credit risk... of the Risk Management strategy including bespoke data modelling of the VWFS portfolio. As well as regular contact with Head...

Volkswagen Financial Services

Market reports and Salaries Our Events Career Advice Insights and advice for the legal, risk and compliance community...Looking for a legal, risk or compliance specialist? Share your hiring requirements. Resources Back Resources...

Taylor Root

Are you a motivated individual with innovative ideas and an interest in flood modelling, mapping and risk management... data and methods that help maintain JBA’s position as a world-leading provider of flood hazard and risk data. Key...

JBA Group

, Sovereigns, Corporates and NBFI credit risk within the financial services industry, ideally in an emerging/frontier market... Head of Credit Risk maintain an effective end-to-end Credit Risk Management function for Crown Agents Bank (CAB or the Bank...

Crown Agents Bank

discipline Demonstrated relevant work experience in investment risk /market risk or quantitative analysis in the financial..., please read on. Role Purpose (-%Role purpose) This role is to undertake a variety of tasks within the Investment Risk Team...

Local Pensions Partnership

. We are currently seeking candidates for Market Risk Capital - Risk Engineering in London. Risk Engineering (“RE”), which is part... with offices including New York, Dallas, Salt Lake City, London, Warsaw, Bengaluru, Singapore, and Tokyo. The Market Risk Capital...

Goldman Sachs

is a team of specialists charged with managing the firm's credit, market, liquidity, operational and model risk. Whether... across risk disciplines (i.e. market risk, credit risk, finance risk, operational risk, model risk), among leading other important...

Goldman Sachs