Risk Management jobs in Bachelors

You need to sign in to set up job alerts

Found 96 jobs

  • Head of Risk Management, Asset management

    • Hong Kong, Hong Kong
    • 80+
    • Wellesley Associates Limited

    Responsibilities: Develop and maintain the overall risk management policies as well as the operational risk framework Ensure the risk policies and ...

  • Associate, Counterparty Credit Risk - Investment Banking

    • Hong Kong, Hong Kong
    • Competitive
    • Captiare Limited

    Duties of successful candidate include but not limited to: providing independent assessments and recommendations on the credit quality of counterp...

  • CECL AVP

    • New York, USA
    • 11000-130000
    • Parallel Consulting, EA Licence No: View Corporate Hierarchy

    Background: A nationally recognised FS company is looking to expand its Risk team with various ALLL or CECL experts at the AVP level. The role will...

  • Manager, Stress Testing, Financial Risk Measurement, Risk Advisory, London

    • London, United Kingdom
    • Competitive
    • Deloitte

    Your opportunity Financial institutions continue to be challenged in multiple ways. They need to navigate through an environment of unprecedented m...

  • Head of Risk (ALM)

    • Tunis, Tunisia
    • Competitive
    • Qatar National Bank (QNB)

    About QNB QNB Group, the largest Financial Institution in the Middle East and Africa are looking to hire a Head of Risk (ALM), to meet the expansio...

  • Assistant General Manager, Asset & Liability Management

    • Hong Kong, Hong Kong
    • Negotiable
    • China CITIC Bank International Limited

    Key Responsibilities •Strengthen the ALM framework and ensure that proper controls are in place • Develop and review policies and procedures relati...

  • Business Analyst Risk Change Reporting Platform for SUB, IWM and APAC Onboarding

    • Zurich, Switzerland
    • Competitive
    • Credit Suisse

    We Offer You a role where you act as product owner and/or product owner's representative in agile sprints. This role is entails onboarding PB ...

  • AVP - Market Risk Reporting

    • Warsaw, Poland
    • Competitive
    • Citi

    Primary Location: Poland,Mazowieckie,Warsaw Education: Higher Degree Job Function: Risk Management Schedule: Full-time Shift: Day Job Employee Stat...

  • Derivatives Pricing Models Validator

    • Warsaw, Poland
    • Competitive
    • Citi

    Primary Location: Poland,Mazowieckie,Warsaw Education: Master's Degree Job Function: Risk Management Schedule: Full-time Shift: Day Job Employ...

  • ANALYSTE CREDIT

    • Paris, France
    • Compétitif
    • Equigest

    FICHE DE POSTE ANALYSTE CREDIT Equigest est une société de gestion indépendante adossée à de grands investisseurs institutionnels. Nous développons...

  • Research & Trading Specialist

    • Vancouver, British Columbia (CA)
    • TBD
    • Raymond James Ltd.

    The Pinkowski Wealth Management Group - Raymond James Ltd. is highly respected as one of the top teams in the country. Are you up for the challenge?

  • Market Risk & Control Reporting Specialist

    • London, United Kingdom
    • Competitive
    • UBS

    Your role Are you a highly motivated person looking to take up a challenge? Do you like analysing risks and producing high quality reports that inc...

  • AVP/VP, Operational Risk

    • Singapore, Singapore
    • Competitive
    • GIC Private Limited

    Risk and Performance Management Department The Risk and Performance Management Department is responsible for the independent assessment, measuremen...

  • Consultant / Senior Consultant Commodity Trading Risk Management (w/m/d)

    • Frankfurt am Main, Germany
    • Competitive
    • PwC GmbH WPG

    Deine Aufgaben Ganzheitliche Beratung - Du arbeitest in (inter-)nationalen Teams an der Weiterentwicklung des Commodity Trading Risk Managements (z...

  • Credit Review Manager

    • Charlotte, USA
    • Negotiable
    • Selby Jennings QRF

    A worldwide leader in the financial services industry is looking to hire a Credit Review Manager. They will be executing the Commercial Credit Revi...

  • Portfolio Manager

    • Boston, USA
    • Competitive
    • State Street Bank

    Credit and Market Risk Portfolio Manager, Managing Director Boston, Massachusetts/en-US/Global/job/Boston-Massachusetts/Credit-and-Market-Risk-Port...

  • Manager - Balance Sheet and P&L Stress Test Modeller

    • 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...

  • Investment Risk Manager - 12 Month FTC

    • Henley-on-Thames, United Kingdom
    • GBP90000.00 - GBP105000.00 per annum
    • Hays Financial Markets

    Your new company This globally recognised investment manager is renowned for its successful management of its investments across an ever-widening r...

  • Counterparty Credit Risk Associate

    • Hong Kong, Hong Kong
    • Competitive
    • Huatai Financial Holdings (Hong Kong) Limited

    Responsibilities: Provide independent assessments and recommendations on the credit quality of counterparties. Perform regular counterparty due dil...

  • Market Risk Analyst, Financial Institution

    • Hong Kong, Hong Kong
    • Negotiable
    • Morgan McKinley Hong Kong

    Responsibilities Conduct risk assessment for FICC, Equities and Asset Management Monitor the limit for each trade and escalate if necessary Prepare...

You need to sign in to set up job alerts