QUANTITATIVE RISK ANALYST jobs in EUROPE ENGLAND, United Kingdom #9

societies in the UK, and we're currently seeking a talented and experienced Senior Model Validation Analyst... to join their growing Risk team As a mutual organisation, they're owned by their members and are dedicated to providing the...

Marks Sattin

Job Description: GSAM Private Credit - Asset Finance - Analyst/Associate - London / Hague A career with Goldman..., structuring, risk management and execution. Client focus and creativity are the cornerstones of our business. We strive...

Goldman Sachs

risk of our successful Structured Notes issuer platform and build a robust governance framework around issuer risk for the... as a credit analyst, specifically with Financials and structured credit Relevant bachelor's degree or equivalent qualification...

Goldman Sachs

and for delivery of AMA Research published report output. Line-management of 2 or 3 Research Managers and a dedicated Data Analyst... skills, especially the ability to derive insight from data Expertise in research techniques both quantitative...

Infopro Digital

. Are you an expert data analyst who can weave data into an interesting story? Are you a Lean Agile portfolio reporting wizard? If so... and at the highest standard working closely with Change Leadership and Finance business partners Perform in-depth quantitative...

First Central Insurance & Technology Group

and to contribute to our Investment Banking business. As an Analyst or Associate within the France Debt Capital Markets (DCM) team in..., etc.) Demonstrate ability to interact with clients and people in a professional and mature manner Relevant quantitative and analytical...

JPMorgan Chase

cap/floors, Baskets, Equity, C++, C# This global investment bank, seeks to hire a VP Quant Analyst to join a small Front... structured FX/IR, FX/Equity models and tool development Provide support to the trading desk and risk management Improve the...

Millar Associates

markets and develop sophisticated financial solutions to help clients manage risk, increase returns and solve complex... to and encourage client enquiries, manage the resulting risk, and understand and respond to market-moving events. Trading is detail...

JPMorgan Chase

such as cash flow and asset coverage models used to evaluate fund debt structures. Assist in the quantitative and qualitative... teams to assess their investment acumen, risk management skills, and overall ability to develop and successfully execute...

Kroll Bond Rating Agency