Risk Management jobs in Bachelors

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Found 99 jobs

  • VP, Portfolio Risk Manager

    • New York, USA
    • Competitive
    • Citi-US

    Primary Location: United States,New York,New York Education: Bachelor's Degree Job Function: Risk Management Schedule: Full-time Shift: Day Jo...

  • Credit Risk Manager (Ref: OE8014-00-Efin)

    • Hong Kong, Hong Kong
    • Competitive
    • Nanyang Commercial Bank

    Nanyang Commercial Bank Brighten Your Prospect In Trust and Respect Accumulating over 65 years experience on our solid foundation in Hong Kong and ...

  • Risk Advisory Consultant

    • Brussels, Belgium
    • A competitive salary + benefit package
    • Finalyse

    Your responsibilities may include the following various possibilities: Act as subject matter expert, business or functional analyst in different ri...

  • Senior Investment and Portfolio Manger

    • Raleigh, North Carolina (US)
    • Sal+bonus+stock options
    • CAPTRUST

    CAPTRUST is an employee owned and operated investment management-advisory firm and we are looking for a leader of our wealth/discretion team.

  • Risk Management Reporter -AVP

    • Pune, India
    • Competitive
    • Credit Suisse -

    We Offer Divisional overview The Chief Risk Office (CRO) mission is to protect the Bank's capital by establishing a strong control environment...

  • Risk Reporter-ENO- Large exposure reporting

    • Pune, India
    • Competitive
    • Credit Suisse -

    We Offer As part of RFDP Capital, team members will be responsible for the below: You will validate credit risk exposure calculation at a counterpa...

  • Equities Market Risk Scenarios

    • Mumbai, India
    • Competitive
    • Credit Suisse -

    We Offer The central scenarios team within Mumbai Market Risk is responsible for handling the stress testing deliverables (which includes crafting,...

  • Capital Risk Analyst

    • Mumbai, India
    • Competitive
    • Credit Suisse -

    We Offer Should you join our team, you will become a member of the Economic Risk Capital (ERC) team within the Enterprise & Operational Risk Manage...

  • Market Risk Scenarios-Global Credit Products

    • Mumbai, India
    • Competitive
    • Credit Suisse -

    We Offer The central scenarios team within MRM is responsible for handling the stress testing deliverables (which includes crafting, calibration, v...

  • Risk Operations Manager, Officer

    • Kraków, Poland
    • Competitive
    • State Street Global Advisors.

    Risk Operations Manager manages the Risk Operations Team and reviews the accuracy of risk reports to our client base, assists on processing and ens...

  • Risk Frameworks Reporting AVP

    • London, United Kingdom
    • Competitive
    • Credit Suisse -

    We Offer We offer: Responsible for managing the Risk Management Committee meetings in capacity of the Secretary to the Committees Coordinate with v...

  • AVP, Business Risk Assurance (Operational Risk Assurance)

    • Singapore, Singapore
    • Competitive
    • Sloane Shorey Consulting, EA Licence No: 17S8548

    AVP, Business Risk Assurance Confident risk manager with either business risk, operational risk or audit/assurance experience required for an AVP-...

  • Senior Associate, Regulatory & Risk Consulting

    • London, United Kingdom
    • Competitive
    • Duff & Phelps Ltd

    Our professionals balance analytical skills, deep market insight and independence to deliver solid, defensible analysis and practical advice to our...

  • Transformation Office Lead – Project Lantern - Term Contract

    • Edmonton (City), Alberta (CA)
    • Negotiable
    • Alberta Teachers' Retirement Fund Board

    We are seeking a Transformation Office Lead for the modernization and evolution of ATRF’s pension service delivery model.

  • Senior Market Risk Analyst

    • Singapore, Singapore
    • Competitive
    • Standard Chartered Bank

    About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle Eas...

  • VP, Market Risk Manager

    • Hong Kong, Hong Kong
    • Excellent
    • Sloane Shorey Consulting, EA Licence No: 17S8548

    Market risk analysis and assessment - VaR, greeks, capital impact Develop stress testing scenarios based on existing trading strategies Identify im...

  • Liquidity Risk Manager - VP

    • London, United Kingdom
    • Competitive
    • Morgan McKinley

    Liquidity Risk Manager Daily monitoring of liquidity risk profile and adherence to the firm's Liquidity Risk Appetite Responsibility for secon...

  • Corporate Sanctioning VP

    • Frankfurt am Main, Germany
    • 70,000 - 100,000
    • Aston Carter Ltd

    Responsibilities will include the following: Preparation of credit papers to be presented to senior sanctioners Monitoring a portfolio and industri...

  • Market Risk Reporting

    • London, United Kingdom
    • £40,000 - £60,000 Base + Bonus
    • Barclay Simpson, EA Licence No: 11S4540

    My client is a mid-tier Japanese Bank who are looking to recruit into the Market Risk Management team. The role will be focusing on the Market Risk...

  • CCAR Internal Audit

    • Manhattan, USA
    • Negotiable
    • Barclays - US

    Overall purpose of role Work collaboratively with others in BIA to develop strong independent client relationships, to be a respected voice. Respon...

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