QUANTITATIVE RISK ANALYST jobs in ENGLAND ENGLAND, United Kingdom #7

The Role: We are looking to add a new member to our Operations team. The Analyst will have the opportunity to work... and/or legal subjects Ability to quickly analyze and interpret diverse qualitative and quantitative data Proficiency...

ION Group

Data Analyst, you will be at the forefront of analyzing both quantitative and qualitative data, generating insightful... Intro The Risk & Response Team for TikTok USDS handles risk detection, prevention and handling in the United States. The...

Financial Analyst Certification). Quantitative skills in the areas of structured finance, credit derivatives, default...Job Description: About the Role: Grade Level (for internal use): 09 Title: Rating Analyst, Review & Validation...

S&P Global

About the Position As we plan for continued growth, we are seeking an Analyst to join our high growth Global... FNGI Advisory provides bespoke intelligence to clients to help them reduce risk and optimise growth. We work directly...

FiscalNote

Experience: Proven experience of working in a bank, asset manager, consultant, or insurance company as a quantitative analyst...Pension Insurance Corporation, a specialist UK insurer, is recruiting an Investment Analyst to its Markets Solutions...

PIC

Position Title: Funds Ratings - Senior Analyst (London) Entity: Kroll Bond Rating Agency UK Limited Employment...) is seeking an Senior Analyst to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors...

Kroll Bond Rating Agency

of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional... to recruit a Fixed Income Credit Analyst (Analyst) to join our Credit Research team in London. This individual will focus...

Wellington Management

Job Purpose To provide analysis of qualitative & quantitative evidence through the collection & interpretation... fact packs, and commercial margin risk maintained in-line with routine financial timescales. Provide supplier insights...

Halfords

on exchanges around the world, raise funding, and manage risk. This is a dynamic, entrepreneurial team with a passion for the... and executing derivative transactions and ongoing risk management of positions Executing and booking of flow-based trades...

Goldman Sachs

and practical problems, collaborate with other Markets Quantitative Analysis teams, and interact with IT, Risk and Trading... your skills in analysis, problem solving and communication to Citi’s Markets Quantitative Analysis team. By joining Citi...

Citigroup

over 800 markets globally and offering a range of absolute return and long-only quantitative strategies that invest... across traditional and alternative markets. With over three decades of quantitative investment experience, Man AHL is committed...

MiNDS

: Structuring and solving problems, analyzing position and portfolio level data (financial, risk and returns metrics) to identify..., quantitative and qualitative analysis of key capital and liquidity rules and guidelines; identify and explain both business drivers...

Citigroup

Markets’ Markets Quantitative Analysis division ("Citi MQA"), independent from "CIS", is responsible for implementing Index... classes. Improves Benchmark Index and risk control processes. Understands and demonstrates risk control aspect of data...

Citigroup

) Elaborate and implement risk management and hedging strategies/programs for the business line, collaborating with colleagues in... Asset Management Ensure all investment solutions meet the firm's desired risk/return metrics Develop and maintain...

Phoenix Group

or other Risk/ Control function Strong quantitative and analytical skills with the ability to interpret complex data and generate... insights that support Audit delivery and conclusions Strong understanding of risk and control environment to evaluate risks...

MUFG Investor Services

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions · Build long... discipline is preferable Experience with modelling and financial statements analysis Strong analytical and quantitative...

Goldman Sachs

required: Experience in a quantitative or risk function required Knowledge and experience in Commodities markets (Metals, Power & Gas, Oil... etc.) a must Knowledge of financial instruments and risk metrics Quantitative skills including mathematics involved in risk estimation...

Citigroup