. 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...
Who we are looking for: EMEA Middle Office Exchange Trade Derivatives Manager responsible for all aspects... Middle Office Exchange Trade Derivatives Manager you will: Manage the daily BAU Onshore Oversight team for a specified group...
and compliance with legal standards. Your responsibilities will include risk mitigation, managing strategic transactions... team. You may be assessed on key critical skills relevant for success in role, such as risk and controls, change...
of all gasoline paper products. Working with the Rotterdam based Manager Regional Trading Gasoline EU to implement optimal trading...-effective way. Proven ability to trade profitably and strategically. Ability to trade within clearly defined risk limits...
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...
! British American Tobacco Romania has an exciting opportunity for a Financial Risk Manager in London This is a fixed term... opportunity for 2 years. The Financial Risk Manager position is a role aimed at giving the position holder an extensive...
markets with good knowledge of the markets, products and risk. Good quantitative level of experience with derivative... your experience in FX and/or Rates with good knowledge of the markets, products and risk to Citi’s Global FX Market Risk team...
Manager, Market Risk London EY is looking for a Market Risk Manager with strong analytical skills, traded risk... expertise and experience in derivative products, to join Market Risk team, within Risk Consulting business. This is a full time...
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...
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...
as well derivative products to the whole wealth spectrum of clients ranging from the affluent up to the Ultra High Net Worth... for Counterparty Credit Risk (CCR) management, and working with our Business and Independent Risk partners to ensure best-in-class risk...
Senior Consultant, Market Risk London EY is looking for a Market Risk Manager with strong analytical skills, traded... risk expertise and experience in derivative products, to join Market Risk team, within Risk Consulting business...
Join us as a Liquidity & Funding Manager In this role, you'll maintain an excellent second line of defence... across our Treasury function Day-to-day, you'll work with senior stakeholders and develop a network across Risk, Treasury and Finance...
) and Derivative Clearing services. As an EMEA Prime Financial Services Business Manager - Associate / Vice President in our Global... us with their business in more than 100 countries. We provide strategic advice, raise capital, manage risk and extend liquidity in markets...
- 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...
and strategic objectives. Manage and execute FX transactions, derivative instruments, and deposit strategies to mitigate financial... risks, optimize capital structure, and maximize risk-free returns on cash. Develop and maintain cash flow forecasts...
managers and product control. They encompass core derivative pricing and risk analytics as well as trade finding and data-based... manager framework, Caxton excels in discretionary global macro investing, leveraging its diversified expertise across asset...
managers and product control. They encompass core derivative pricing and risk analytics as well as trade finding and data-based... capital through a suite of products designed to fit the specific needs of investors. Employing a multi-portfolio manager...
businesses and economies around the world to fund innovation, manage risk and create jobs. It’s how we’ve contributed... to join FTSE Russell business and lead the development and management of quantitative investment strategies (QIS) and derivative...
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...