All jobs near Europe

Found 9 jobs
    • London
    • Negotiable
    • Posted 5 days ago

    Responsible of the role: Execution of money markets and other trades across GM. Assisting with the optimisation of liquidity management. Key stakeholder management across corperate relationships. Requirements of the individual: Strong product knowledge across global markets and FX. Experienced in...

    • England
    • Negotiable
    • Posted 7 days ago

    This roles job responsibilities include but are not limited to the following: Supporting improvement of risk controls and reporting analysis in line with business requirements. Preparing P&L positions on a daily and monthly basis Handling risk assessments of new markets, products, or strategies. ...

    • England
    • Negotiable
    • Posted 12 days ago

    This roles requirements include but are not limited to the following: Generating risk metric calculations and risk exposures. Ensuring trading procedures and other relevant controls are compliant upon internal and external audit requests. Assist front office in reaction to new markets risks and e...

    • Brussels
    • Negotiable
    • Posted 23 days ago

    The Financial Risk Analyst will be responsible for financial risk management in commodity, foreign exchange risks, and trading profit and loss for the defined businesses and areas. In this role, you will partner with key stakeholders to deliver key controls, compliance, data, and reports timely a...

    • England
    • £60000 - £60001 per annum
    • Posted about 2 months ago

    We have a current opportunity for a Risk Analyst on a permanent basis. The position will be based in London. You will be responsible for but not limited to: Daily exposure and risk metric calculations Analysing, investigating, and comment on PNL trading results Maintain knowledge of risk metrics ...

    • Switzerland
    • Negotiable
    • Posted about 2 months ago

    Key Responsibilities: You will be the First LOD for the entire business' functions, responsible with identifying and mitigating any potential risk that could impact the company directly - both in the immediate term and in the future . Develop and implement operational risk policies and standards ...

    • London
    • Negotiable
    • Posted about 2 months ago

    Responsibilities of the individual: Conduct holistic portfolio analysis Regular monitoring of exposures across all business areas and financial risks. Provide advice and expertise on business strategy at a portfolio level Contribute to the design of analysis and reports for early identification o...

    • London
    • Negotiable
    • Posted about 2 months ago

    Responsibilities: Work with analysts and Accounting Department on corporate restructurings of our various credit positions Work closely with front office traders to run ad hoc reports and assist with trade/position issues Work with brokers to confirm trade settlements and resolve trade breaks Cor...

    • Amsterdam
    • Negotiable
    • Posted about 2 months ago

    ALM & Capital Model Validator Your working environment The ALM & Capital Model team validates the models employed for managing the market (e.g. interest rate) and liquidity risks associated with the products in the banking book of the Bank. The scope of this validation team includes a variety of ...

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