Risk Management Finance - General Full Time jobs in Bachelors
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Asia Pacific
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Found 21 Asia Pacific jobs
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OTC Derivatives and Securities Valuations
Join a fund administrator as a Valuations Manager, performing Securities and OTC Derivatives valuations for Hedge Funds
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Chief Investment Officer/Portfolio Manager
Alternative Fund Advisors (AFA) is privately owned mutual fund company established in 2020 by Marco Hanig and Mike Jancosek. The two founders are b...
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Senior Investment Analyst
Looking for a suitable candidate to take up the role of Investment Analyst at a boutique wealth advisory & management firm based out of Bangalore
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Head of Risk Analytics
主要工作职责描述 1、负责管理量化分析组工作,覆盖市场风险、信用风险和操作风险领域; 2、负责公司各类产品定价模型、策略模型等的验证,完善模型验证的流程和机制; 3、负责公司各类风险管理量化模型的建立和维护; 4、负责公司各类风险管理系统、各类风险数据库的开发和维护; 5、负责初审小组年度工作...
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Head of Risk and Quantitative Analysis, Director
Description About this role Elevate your career by joining the world's largest asset manager. Thrive in an environment that fosters positive r...
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VP/Director, Market Risk, Risk Management Department
We offer attractive remuneration package, 5-day work, competitive fringe benefits (wedding leave, body check, group medical insurance, dental insur...
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Liquidity Risk (Virtual Bank)
Responsibilities To develop liquidity risk management and interest rate framework and formulate policies to meet with HKMA requirements Design and ...
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Head of Risk Management (Hong Kong based)
Responsibilities: • Formulate framework of risk management policies and manage ongoing enhancements/progress • Responsible for credit risk concentr...
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Market Risk Manager
Key Responsibilities: Generate and maintain daily reports covering P&L reports, VaR exposures, MTM Monitor exposures to risk limits and report brea...
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Credit Analyst, Financial Institutions, IBG
Business Function Corporate and Investment Banking provides corporate customers with a full range of commercial banking products and services, incl...
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Credit Analyst
The Leveraged Finance desk is part of VTB Capital's Global Markets / Fixed Income department and is responsible for large-cap corporate credit busi...
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Risk management-Project Risk Analysis Senior Manager/Manager/Senior Officer
Responsibility: Responsible for pre-investment risk analysis of the projects carried out by the firm, including debt, equity, mezzanine, structured...
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Counterparty Credit Risk - Exposure Move Analysis, ENO
Credit Suisse is a leading global wealth manager with strong investment banking capabilities. Headquartered in Zurich, Switzerland, we have a globa...
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AVP - Market Risk Management
Key Responsibilities: Perform day-to-day risk management of FICC and Equity positions, analyze large P/L events, VaR movement, ensure limits are we...
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Counterparty Credit Risk - Exposure Move Analysis, AVP
Credit Suisse is a leading global wealth manager with strong investment banking capabilities. Headquartered in Zurich, Switzerland, we have a globa...
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Various Risk Positions for Banks
Position 1 - Risk Manager (Strategy & Analytics) Job Focus: Conduct Data Analysis on Credit Risk Perform research on Regulatory requirements Implem...
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Vice President, Basel
Job Descriptions Responsible for the development, implementation and enhancement of credit risk rating models and systems. Provide support to model...
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Credit Risk Analysis - Risk Management
Responsibility: Responsible for pre-investment credit risk analysis of the bond investment and other direct investment projects; Major duties inclu...
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Manager Market Risk
At BHP we support our people to grow, learn, develop their skills and reach their potential. With a global portfolio of operations, we offer a dive...
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