Are you a skilled and enthusiastic professional looking for a new opportunity in the banking industry?
Our client, a leading banking institution, is seeking a talented and motivated individual to join their dynamic team as an Internal Audit - Credit Risk/IB.
Responsibilities
Conduct comprehensive risk-based audits to assess credit risk within the organisation.
Investment Banking 3rd Party Market Risk and Control SME needed for a large Regulatory Change project.
Our client (a Global Investment Bank) has a requirement for a Market Risk and Control SME to join their team - your background will be in Risk and Control and you'll be completing Risk and Control Assessments across a variety of 3rd party suppliers.
Investment Banking 3rd Party Market Risk Control 3rd Party Assessments Commodities Regulatory Change £700-800 per day (Inside IR35) London (Hybrid working 3 days in the office per week) This is inside IR35 - so you will be working through an Umbrella company Initial contract period is 6 months.
Listed and unlisted enterprises, financial sponsors, and investment banks are among our clients.
The firm is recognised globally for its work on complicated M&A and Fund transactions, buyouts, stock and asset purchases, restructurings, spin-offs, joint ventures, and contentious transactions on behalf of all parties involved.
A fantastic opportunity has come up for a Corporate or Funds Paralegal with previous transactional experience to join a renowned international law firm on an initial 6month FTC in London.
MBF Recruitment are currently working with a boutique Stockbroking organisation based in Leicester who are looking to recruit an experienced Administrator for their Operations Team.
Leicester - £25,000 plus company Benefits
Initial 12 month contract - It is likely that there will be a permanent role at the end of that
We have an exciting opportunity for an Investment Administrator to join one of our impressive client's largest teams in their Birmingham office.
The role will support two successful Investment Managers within a very busy wider team and cover all administration requirements for investment management services and investment advice to a range of private and professional clients, IFAs, and the charitable/not-for-profit sector.
This is an opportunity to join a friendly, ambitious, and growing team, committed to creating an inclusive culture that embraces diversity.
The successful candidate will be part of a dynamic team that manages the assets of some of the world's largest institutions, financial intermediaries and their clients.
An exciting opportunity has arisen for a dedicated Compliance officer to join a leading independent wealth and asset management firm.
This role is based in the heart of London, offering an 18-month fixed term contract.
You will be examining how different pension and investment products were sold, checking whether correct and appropriate procedures were followed.
Our client is hiring experienced Pensions and Investment Complaint Handlers to support on a review project.
To be a part of this project, you must have knowledge of pension and investment products such as SIPPs, OEICs, ISAs, and Non-ISAs,combined with experience of handling complaints relating to product advice and suitability.