Risk Management jobs in Bachelors
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Found 132 Europe jobs
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Forte des compétences et expertises de 190 collaborateurs, la direction des finances du Groupe (DFIN) assure le pilotage financier du Groupe dans s...
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Au cœur des missions confiées par la loi à la Caisse des Dépôts, le fonds d'épargne transforme une partie de l'épargne réglementée en prê...
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Your team You'll be working in our Structured Financing team and be based in our London office but as part of a global team, ultimately report...
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Contexte Vous interviendrez sur des missions à forte valeur ajoutée, sur des fonctions de business analyst ou de pilotage de projet auprès de nos c...
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Your team You'll be working within our Firmwide Risk Identification team in our London office. Our mandate is to maintain a best-in-class risk...
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Trade & Transaction Reporting Analyst x 3 Banking London TTRO MiFiR, EMIR, SFTR I have 3 new headcounts within a Trade & Transaction Reporting team...
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This sought-after position offers you an excellent opportunity to join our Market Risk team in London. Market Risk is concerned with measuring and ...
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Tell me more Location: Working from home Rate: £450 per day Work Pattern: Standard business hours Start Dates: ASAP Duration: 6 months Your day-to-...
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Duration: 18 months contract Canada Life UK looks after the retirement, investment and protection needs of individuals, families and companies. We ...
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The role will report to a senior director and we are looking for strong quantitiative skills and excellent mathematical ability. The great part of ...
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The role is responsible for the assessment, analysis and reporting of Advanced Market Risk and XVA Risk own funds capital calculation and will play...
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The role - Assessment of market risks, concentrations and top risks. - Desk-facing. Live discussion and independently challenge of traders, trading...
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• Performing detailed testing of market risk models and counterparty credit risk models • Contributing toward the continuous improvement in efficie...
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This role is to perform planning, execution and reporting for thematic conduct risk assessments covering the Markets and Securities Services Tradin...
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My client, a global banking brand, is hiring an Internal Audit Director aligned to the Risk portfolio, specifically valuation risk. You will posses...
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As a Barclays Quantitative Analyst working within Barclays UK Retail Credit, you will be responsible for the development, implementation support an...
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The Role: - To overseethe growth of the businessesmortgage portfolio, with a key focus on Buy-to-let - Review asset quality for secured and unsecur...
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My client, a global banking brand, is hiring an IT Internal Audit Manager who will focus on Application reviews along business lines including Oper...
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The role: The role will focus on Market Risk Stress Testing Methodologies in London. You will focuson developing models on stress testing Value-at-...
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RISK The Risk division is responsible for credit, market and operational risk, model risk, independent liquidity risk, and insurance throughout the...
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