Risk Management Jobs in London | Search & Apply Today

Found 32 jobs
    • Luxembourg
    • Negotiable
    • Posted about 22 hours ago

    A leading UCITS and AIFM Asset Management company are seeking a Senior Risk Manager to join them in Luxembourg. This pursues Real Estate, Infrastructure and Senior Secured Loan Strategies. Working together with the other Risk Managers, you would help to drive the business into a new area and asse...

    • Frankfurt am Main
    • Negotiable
    • Posted 1 day ago

    Role description: This role will sit in the EMEA Financial Institutions Credit Team reporting to the NFPE Head of Credit Risk locally and to the EMEA Head of Financial Institutions functionally The candidate would be responsible for the coverage of an EEA portfolio of counterparties across the EM...

    • Amsterdam
    • Negotiable
    • Posted 2 days ago

    You assist within the group "Market Leader" based in the Netherlands and in particular Market Leader Tech with identifying and managing its IT and Continuity risks. You are expected to be able to substantively advise and 'challenge' Management regarding its (IT and Continuity) risks, that you ass...

    • Berlin
    • Negotiable
    • Posted 2 days ago

    Your tasks: To further advance the development of new models and enhance existing models, including scorecards, we are looking for a senior credit risk modeller. Leading the local model development and ensure the local regulatory requirements are taken into account. Liaising with the UK model dev...

    • Utrecht
    • Negotiable
    • Posted 2 days ago

    As Senior Modeling Analyst Within the company, there is a 2nd line unit where Credit Risk, Modeling Risk, and other risk activities are housed. You will therefore be in Utrecht most working days, the other days in Amsterdam when the Corona measures have been lifted. Your duties and responsibiliti...

    • Berlin
    • Negotiable
    • Posted 2 days ago

    Junior//Medior Credit Risk Modeler Your tasks: To further advance the development of new models and enhance existing models, including scorecards, we are looking for a junior credit risk modeller Responsible for local model development, ensuring the local regulatory requirements are taken into ac...

    • Berlin
    • Negotiable
    • Posted 3 days ago

    A German bank is seeking a Senior Risk Controller to join their growing team in Berlin. You will drive the development of Credit Risk Methodology & Framework, and be responsible for the monitoring of the rating / risk processes of the bank. In the context of IRB modelling, your main task would be...

    • Frankfurt am Main
    • Negotiable
    • Posted 3 days ago

    Senior Consultant Quantitative Risk Management Mein Team und ich unterstützen aktuell eine der führenden Beratungen für Financial Services, Versicherungen und Banken bei der Suche nach neuen und motivierten Senior Consultants. Die Arbeit des Quantitative Risk Management-Teams findet in der Schnit...

    • Virginia
    • Negotiable
    • Posted 7 days ago

    Our team is leading a search for a Manager of Analytics and Strategy covering Marketing and Consumer Insights. This individual will be driving analytics while partnering with stakeholders to deliver actionable analyses to identify areas of opportunity in their local markets, drive business perfor...

    • Germany
    • Negotiable
    • Posted 7 days ago

    Head of Risk Models - Credit Risk A large bank in Germany is seeking a new team lead to manage the Credit Risk Modelling function. You will drive not only the development of Credit Risk models, but also engage in projects outside of the modelling team, using your understanding of Risk Monitoring,...

    • New York
    • Negotiable
    • Posted 8 days ago

    Our client, a global investment bank whose sizable securities arm, is looking to hire a motivated, driven and qualified Conduct Risk Consultant at AVP level. The firm has trading floors in 100 countries and services some of the largest corporate and government clients in over 150 countries. As a ...

    • New York
    • Negotiable
    • Posted 8 days ago

    A top American investment bank is hiring within its Model Risk Management group and is looking for an experienced candidate with a strong technical background in Rates to join their growing team! This role requires you to be fluent in derivative pricing for flow and exotic rates products and mode...

    • New York
    • Negotiable
    • Posted 8 days ago

    A leading international insurance company is looking to make an essential senior level hire within their Enterprise Risk Management team. This senior role will lead a team, focused on risk management effectiveness for their Primary Casualty, Excess Casualty, Financial Lines and Cyber businesses. ...

    • Germany
    • Negotiable
    • Posted 8 days ago

    Manager | Operational Risk A globally leading Consultancy are building up their Operational Risk team across the German market. This company operates in over 100 countries in the areas of Audit, Management Consulting and Tax. They are looking for a Manager to join them in either Berlin, Hamburg o...

    • Germany
    • Negotiable
    • Posted 8 days ago

    Summary: A leading global consulting group specializing in tax and audit consulting is currently offering the chance to join their expanding IT Risk team at several different locations across Germany, namely in Berlin, Essen, Hamburg or Munich. The role would involve leading IT Risk teams on a va...

    • Charlotte
    • US$100001 - US$225000 per year
    • Posted 9 days ago

    A leading banking organization is seeking a SVP, Operational Risk Manager to join their growing Operational Risk group. The SVP, Operational Risk Manager will be responsible for the development and implementation of an enhanced 2nd line Operational Risk program supporting the Consumer bank, with ...

    • New York
    • Negotiable
    • Posted 13 days ago

    An industry-leading Asset Manager based out of New York City is looking to hire a Team Lead-level Senior Risk Analyst to report directly to the Head of Risk. The firm manages more than $1T+ globally, and the Multi-Asset group is managing roughly $300B. This group trades across all asset classes, ...

    • Wilmington
    • US$110001 - US$135000 per year
    • Posted 13 days ago

    A leading Consumer Bank is currently looking to hire a highly qualified, driven, and disciplined Acquisition Risk Strategy (AVP). This company is committed to offering a full range of consumer credit card products and is one of the largest credit card banks in the United States. The AVP of Acquis...

    • Amsterdam
    • Negotiable
    • Posted 13 days ago

    As a Regulatory Expert you will: Shape the future WB asset portfolio composition and profitability by ensuring its regulatory readiness: Participate in defining portfolio strategy by bringing regulatory expertise Provide insights into the portfolio; drive understanding of the impact of upcoming r...

    • Germany
    • Negotiable
    • Posted 13 days ago

    A specialist consultancy are rapidly expanding their team in Germany - they are seeking highly motivated professionals to join them on dynamic projects, combining Risk & Trading topics. You will collaborate with international banks, large energy traders, asset managers and insurance companies acr...

    • Frankfurt am Main
    • Negotiable
    • Posted 13 days ago

    The Finance Reporting Lead Analyst is responsible for driving the generation, analysis, and submission of reports to various constituencies based on requirements such as local statutory reporting, in coordination with the broader Financial Reporting Team. The overall objective is to apply in-dept...

    • Düsseldorf
    • Negotiable
    • Posted 13 days ago

    The Quantitative Methods team is responsible for defining and developing the methods that support valuation, risk quantification, and optimization decisions for all of the commercial and risk-taking activities. The company's portfolio is global and spans a wide range of energy commodities and pro...

    • Amsterdam
    • Negotiable
    • Posted 13 days ago

    As VP Opertqaional Risk Manager you will work within the Enterprise Risk Management (ERM) function. In this role, you will Establish an appropriate ERM framework including risk policies, metrics, reporting, and monitoring. Primary Responsabilities: Setting up the framework and processes necessary...

    • Frankfurt am Main
    • Negotiable
    • Posted 14 days ago

    A leading investment bank in Frankfurt is seeking a Quantitative Risk Manager for the Counterparty Credit Risk Portfolio. You would be responsible for validating the valuation and pricing models, whilst developing and contributing to the Counterparty Credit Risk framework to ensure smooth perform...

    • Netherlands
    • Negotiable
    • Posted 15 days ago

    A leading Energy Trading House in the Netherlands are looking Quant Analysts to join them. This company uses asset backed trading (power plants, long-term contracts, gas pipelines and storage facilities) to maximise its success, as well as providing electricity and gas to B2B clients. This means ...

    • Frankfurt am Main
    • Negotiable
    • Posted 16 days ago

    VP Credit Risk Management We are currently supporting a very successful banking business that is moving more business critical positions to their entity in Frankfurt at the moment. Our client is looking to hire a new VP into their Credit Risk Management department, which operates EMEA wide and is...

    • Dallas
    • Negotiable
    • Posted 17 days ago

    A leading clearing house is looking to hire a Counterparty Credit Risk Senior Associate. As a member of the Counterparty Credit Risk ("CCR) team, you will be responsible for setting forth guidelines for specific actions that CCR personnel should take to fulfill its mandate to identify, rate, and ...

    • Los Angeles
    • Negotiable
    • Posted 18 days ago

    A leading bank is looking to hire a Quantitative Credit Risk Manger. In this role, you will contribute to the company's success by upholding the bank's strong credit culture, while facilitating growth and maintaining the quality of the bank's loan portfolio. The Quantitative Credit Risk Manager w...

    • New York
    • Negotiable
    • Posted 20 days ago

    Our client, a global leader in both the Private Equity and Project Finance space, is looking to hire a motivated, driven and qualified Business Operational Risk Manager. The firm advises some of the largest corporate and government clients involved in public M&A, private treaty acquisitions and d...

    • Dallas
    • US$150001 - US$180001 per year
    • Posted 23 days ago

    Join one of the fastest growing auto finance companies in the lending industry and they scale out their risk analytics practice, specifically for pricing and profitability. This incumbent will report directly into the new CRO and have complete ownership of credit risk strategies and lending polic...

    • White Plains
    • Negotiable
    • Posted 28 days ago

    A leading global bank is looking to hire a qualified Senior Model Validation Analyst that will report to the Compliance Model Validation Manager in the Risk Management Department. Responsibilities include leading the validation of models and fraud detection models for the Bank. The Senior Model V...

    • Stuttgart
    • Negotiable
    • Posted 29 days ago

    Senior Liquidity Manager One of Germany's leading energy suppliers and trading houses is looking for a Senior Liquidity Manager to join their team in South Germany. This company has outlined a strong Renewable Energy strategy, constructing Solar and Wind farms both in Germany and on the wider Eur...