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Keywords: Derivative Risk Manager, Location: London

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Derivative Risk Manager

. Derivative Risk Manager (Market, Capital, Liquidity) Ebury London Victoria - 4 days in the office & 1 day working from home... As a Derivative Risk Manager who will play a key role in Ebury's Derivatives team, focusing on the development, implementation...

Company: Ebury
Location: London
Posted Date: 09 Jan 2025

Sr. Client Service Manager, Derivatives

, the Sr. Client Service Manager within the Client Services team will focus on all aspects of the client relationship... Manager may serve as a technical expert providing complex support to clients and partners. The key responsibilities of the...

Company: Northern Trust
Location: London
Posted Date: 09 Nov 2024

Derivatives Trader

and collateral trades. To provide analytical and quantitative support in the trading and risk management process. Job Role... Accountabilities Trading and Risk Management processes – Monitoring and improvement (creation of new and maintenance of existing...

Company: Just
Location: London
Posted Date: 08 Dec 2024

Accuflex - In-house Paralegal ISDA/Derivatives

has an opportunity for a Paralegal with derivatives (ISDA) knowledge to work for our client, a global asset manager in London... to work for our client, a global asset manager in London on a contract basis. A basic knowledge of ISDA...

Company: Accutrainee
Location: London
Posted Date: 14 Nov 2024

Senior Risk Manager

Job Description Role - Senior Risk Manager Location - London Salary - £80,000 - £90,000 Executive Network Group... are leading a retained search to appoint a Senior Risk Manager, to join our London based client. Our client provides OTC...

Company: Pertemps
Location: London
Posted Date: 04 Jan 2025
Salary: £90000 per year

Manager, Quant, Market Risk

Manager, Quant, Market Risk London Market Risk team in EY are looking to offer a unique opportunity to a Manager... Risk and derivative pricing market What makes this unique? you may currently be working in the quantitative field...

Company: EY
Location: London
Posted Date: 30 Dec 2024

Credit Risk Officer, Asset Manager/Funds Underwriting

Job Description: Job Title: Credit Risk Officer, Asset Manager/Funds Underwriting Corporate Title: Vice President.... Job Description This Asset Manager/Funds Credit role sits within Global Markets Credit (GMC) which sits within the front line Enterprise Credit...

Company: Bank of America
Location: London
Posted Date: 26 Dec 2024

Business Risk and Control Senior Group Manager - Director

, Settlements, Margin, Asset Servicing, Listed Derivative, Clearing & Commodities Operations. We support an extensive... regulations and internal policies and adopt a proactive approach to identifying opportunities to reduce risk through the...

Company: Citigroup
Location: London
Posted Date: 10 Jan 2025

Vice President - Portfolio Manager/Trader

- Portfolio Manager/Trader to join our EMEA Chief Investment Office team. This role is located in London – hybrid. The Chief... and derivative trades with the goal of maximizing net interest income and reducing balance sheet costs whilst staying in compliance...

Company: BNY Mellon
Location: London
Posted Date: 09 Jan 2025

AVP Specialist, Structuring, ALM and Asset Strategy, S&R

clients from different countries in offering solutions that can transfer both longevity and asset risk. This role offers... strategies for new business. They will work closely with divisional CIO and in house derivative traders as well as building...

Location: London
Posted Date: 04 Jan 2025

Structuring Analyst

Build and maintain quantitative models to support product development, derivative pricing, risk management, portfolio... in financial engineering e.g., stochastic calculus, risk neutral/martingale methods, derivative pricing and risk, financial...

Company: Phoenix Group
Location: London
Posted Date: 29 Dec 2024
Salary: £90000 - 108000 per year

Associate, Trading Credit, Corporate Banking London

, and respond quickly to requests for credit facilities from the trading floor. Provide expertise in the area of credit risk..., trading room marketers and Risk Management. Provide sound, timely, and well-communicated recommendations for credit...

Company: CIBC
Location: London
Posted Date: 26 Dec 2024

Director of Investment Operations & Reporting

across Middle Office, Back office, short term liquidity risk management and collateral management. As well as overseeing the... management Lead the risk, framework and policy for short term liquidity Devise tools for managing liquidity including the...

Company: Just
Location: London
Posted Date: 05 Dec 2024