SENIOR EQUITY RISK QUANTITATIVE jobs in ENGLAND ENGLAND, United Kingdom #3

productivity, and enhance risk management effectively and responsibly. The Firmwide Chief Data Office (CDO) is responsible..., and effectively and efficiently manage data risk. As a Vice President in Data Management Strategy within the Firmwide CDO...

JPMorgan Chase

productivity, and enhance risk management effectively and responsibly. The Firmwide Chief Data Office (CDO) is responsible..., and effectively and efficiently manage data risk. As an Associate in Data Management Strategy within the Firmwide Chief Data Office...

JPMorgan Chase

, and effectively and efficiently manage data risk. As an Executive Director in Data Management Strategy within the Firmwide Chief... industry trends and shares insightful reports and analyses with the broader team and senior executives...

JPMorgan Chase

Contribution, Private Equity, Impact Investing, Senior Housing and Mexico Industrial. PGIM Real Estate strives to deliver... exceptional outcomes for investors and borrowers through a range of real estate equity and debt solutions across the risk-return...

Prudential Financial

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions · Build long... and executes loan, high yield bond and equity financings for corporate clients and financial sponsors, including stressed...

Goldman Sachs

, risk and position management, pricing as well as various other analytics. We're looking for a Senior Software Engineer...Job Description: The Equities Front Office Marking and Analytics Team develops applications for the Equity...

JPMorgan Chase

(TSE) team provides IT & Operations advice to corporate and private equity firms who intend to acquire, divest..., IT risk & Cyber and IT financials Strong analytical skills, with the ability to link operational analysis to financials...

EY

, quantitative analyst) Deep understanding of any combination of IR, FX, equity derivatives (including risk and pricing models) – FX...Quantile offers market-leading optimisation services that reduce counterparty risk, notional and capital requirements...

London Stock Exchange Group

on Private Equity, Private Real Estate & Private Infrastructure and you have the following day-to-day responsibilities..., focusing on strategic asset allocation, investment returns/risk and cash flow modelling Support with client acquisition...

Partners Group

, including fundraising, investing and divesting with the goal of maximizing value, while minimising risk. The group works... with senior leadership within Vitol, our joint venture partners and managers of our portfolio companies to design ways of growing...

Vitol

, including fundraising, investing and divesting with the goal of maximizing value, while minimising risk. The group works... with senior leadership within Vitol, our joint venture partners and managers of our portfolio companies to design ways of growing...

Vitol

, senior management, clients, and external partners to foster a risk-aware culture and promote proactive risk management... approach within a Life Cycle Management environment. They will act as the technical authority in Project Management and Risk...

Ultra Electronics

Risk Analytics at S&P Global provides products and solutions to financial institutions to measure and manage... their counterparty credit risk, market risk, regulatory risk capital and derivative valuation adjustments. Using the latest analytics...

S&P Global

establishing a Project Structure (Work Breakdown Structure/Network/Network Activity), a quantitative approach to planning... of payment in order to minimize the cost of cash Keeping senior operations management of the Group fully informed on project...

Fluor

successful candidate will perform some or all of the following: Test and validate quantitative financial-based models and engines... and credit review activities using both qualitative credit skills and statistical / quantitative analyses in the evaluation...

S&P Global

is projected to reach $3 trillion by 2050. CPP Investments invests in all major asset classes, including public equity, private... equity, real estate, infrastructure and fixed-income instruments, and is headquartered in Toronto with offices in Hong Kong...

CPP Investments

is projected to reach $3 trillion by 2050. CPP Investments invests in all major asset classes, including public equity, private... equity, real estate, infrastructure and fixed-income instruments, and is headquartered in Toronto with offices in Hong Kong...

CPP Investments