Risk Management Finance - General jobs in Bachelors

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Found 53 jobs

  • Risk Methodology STA

    • Mumbai Central, Konkan (IN)
    • Open / Negotiable
    • Join Hands HR Consultancy Pvt Ltd

      We have a good position with a global financial service company looking in their Risk Methodologies Group (RMG). Looking for experience either in...

    Top job

  • Risk Methodology Analyst

    • Mumbai Central, Konkan (IN)
    • Open / Negotiable
    • Join Hands HR Consultancy Pvt Ltd

    We have a good position with a global financial service company in their Risk management division. Looking for experience in basics of Derivatives ...

    Top job

  • Credit Risk Management

    • Mumbai Central, Konkan (IN)
    • Open / Negotiable
    • Join Hands HR Consultancy Pvt Ltd

    We have a good position with a global financial service company in their Risk management division. Looking for experience in credit risk of Banks o...

    Top job

  • Senior Investment Risk Analyst

    • Edinburgh, United Kingdom
    • Competitive
    • Franklin Templeton

    At Franklin Templeton, we are dedicated to delivering strong results and exceptional service to clients, team members and business partners. Over 9...

  • Credit Risk Analyst

    • London, United Kingdom
    • Negotiable
    • Michael Page Financial Services

    My client is a FX brokerage based in the City of London. Description The Credit Risk Analyst will be responsible for: * Prepare credit reviews of n...

  • Wealth Management - Risk Management - Analyst

    • Singapore, Singapore
    • Competitive
    • J.P.Morgan

    About J.P. Morgan Chase & Co. JPMorgan Chase & Co. (NYSE: JPM) is a leading global financial services firm with assets of $2.6 trillion and operati...

  • 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...

  • Risk Management Consultant

    • Luxembourg, Luxembourg
    • An attractive salary + package
    • Finalyse

    More precisely, you will work on projects aiming at analyzing, developing, building, testing and managing applications which are used to support ri...

  • Credit Officer VP

    • London, United Kingdom
    • GBP80000 - GBP95000 per annum
    • Twenty Recruitment Group

    Summary Twenty Financial Services are currently looking for a Credit risk officer for a leading investment bank. The role will be working in a bran...

  • Credit Risk Analytics VP/AVP

    • New York, USA
    • DOE
    • Finance Network

    Job Duties Include but are not limited to: Credit Risk Measurement & Tools Develop, enhance and maintain varies of credit measurement methodologies...

  • Quantitative & Risk Management Professional

    • Singapore, Singapore
    • Competitive
    • Partners Group AG

    Partners Group is a global private markets investment manager, serving over 900 institutional investors. We have USD 91 billion in assets under man...

  • Treasury Risk Analyst, Senior Associate

    • Kraków, Poland
    • Competitive
    • State Street

    JOB DESCRIPTION: Overview: Global Treasury Risk Management (GTRM), a team within State Street's Enterprise Risk Management (ERM) department, i...

  • Treasury Risk Senior Analyst, Officer

    • Kraków, Poland
    • Competitive
    • State Street

    Major Responsibilities: Support and enhance risk oversight including the measuring, reporting and monitoring of Interest Rate Risk, Credit Spread R...

  • Global Advisors Model Risk Senior Associate

    • Kraków, Poland
    • Competitive
    • State Street

    Our Team All over the world, institutional investors rely on State Street Global Advisors to help them manage risk, respond to challenges, and driv...

  • SSGA Model Risk Officer

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

    Our Team All over the world, institutional investors rely on State Street Global Advisors to help them manage risk, respond to challenges, and driv...

  • Director Market Risk Capital Analytics

    • Toronto, Canada
    • Competitive
    • Scotiabank

    Requisition ID: 67970 Join the Global Community of Scotiabankers to help customers become better off. Purpose As part of Scotiabank Global Risk Man...

  • ERC Methodology Framework

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer The ERC Methodology team is part of global Portfolio Risk Department in the Enterprise & Operational Risk Management (EORM) area. This rol...

  • Executive Director, Credit Risk Management

    • Hong Kong, Hong Kong
    • 100K + Discretionary Performance Bonus
    • GF Holdings (Hong Kong) Corporation Limited

    Job Responsibilities: Assist CRO to manage Risk Department and promote a sound risk management culture; Improve the risk management framework, over...

  • 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...

  • Corporate Finance - Analyst - London

    • London, United Kingdom
    • Competitive
    • EY.

    Opening date: 7 August 2019 Closing date: 5 September 2019 Hours: 35 hours per week Monday to Friday Salary: Competitive Location: SE1 2AF London T...

  • 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...

  • 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...

  • Investment Analyst

    • Minneapolis, Minnesota
    • A competitive base salary and annual incentive award are commensurate with experience.
    • UMFIA

    Investment Analyst conducts research in support of sourcing, underwriting, & due diligence; focused on private direct & co-investment opportunities.

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