Today, Risk Implementations handle multi-asset risk products, which include MARS Front Office Risk, Market Risk, Credit Risk, Counterparty Risk, Hedge accounting and Collateral management.
For Multi-Asset Risk System (MARS) and Portfolio Risk Analytics (PORT) products, we partner with Sales and Account Management throughout the sales process to guarantee the solution is a fit for our client's needs.
The Risk Implementation Team provides our clients outstanding service in scoping, deployment, and integration of our solutions within the framework of their existing businesses.
You will be joining Non Financial Risk (NFR) Group Governance team, a team that sits within NFR Group Risk Management focused on ensuring Non-Financial Risk management group governance requirements are met in an accurate and timely manner.
Posted by Meraki Talent Limited • £100K/yr to £130K/yr
The Risk division encompasses the Credit Risk, Country Risk, Operational Risk, Physical Commodities Risk Assurance, Business Continuity Management, Liquidity Risk and Market Risk disciplines.
Meraki Talent are working with a global bank that are looking for credit senior, this is unique role as its very broad in its nature and you will work very closely with the origination team.
Posted by Antony James Recruitment Ltd • £100K/yr to £160K/yr
Role Purpose: We are looking for a dynamic and experienced Chief Risk Officer to lead the development and execution of our Risk Management Strategy.
As a key strategic partner to senior leadership, you will establish risk appetite, define risk limits, and implement robust policies and procedures to safeguard the organisation's financial health and regulatory standing.
The role involves overseeing the identification, assessment, and mitigation of various risks, including credit, market, liquidity, operational, and compliance risks, while ensuring alignment with regulatory requirements and organisational objectives.
The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market, operational, enterprise and liquidity risks and has the responsibility of continual development of methods for risk measurement, frameworks and creating a bank wide strong risk culture.
Corporate title: Managing Director
Job Description
Job title: Head of Market Risk and Valuation Risk - Rates.
Posted by Wintermann Search & Selection Limited • £80K/yr to £90K/yr
General
Day-to-day management of liquidity risk, with particular focus on / knowledge of LCR/NSFR monitoring.
My client a global bank is looking to hire a Senior Risk Control Officer with a focus on LIquidity Risk & ALM.
Principal Purpose of the Job
As a second line role, support and challenge the management of liquidity risks and report material risk issues which fall into the remit of the Risk & ALM Department to the Head of Department and Senior Management to ensure that liquidity risks are managed within the Bank's risk appetite and regulatory requirements.
Whatever the question, the concern, or the risk, we can get the right people in a room and find the right answer.
With a no limits approach, we can rise to any challenge.
Our collective power is also helping us to change the insurance narrative - doing right by our clients while using insurance as a tool to build resilience for individuals, businesses and communities.
Posted by Hays Specialist Recruitment Limited • £100K/yr to £130K/yr
Key Responsibilities
Lead fund risk analytics (market risk, liquidity, scenarios, performance metrics).
General
This leading WealthManager are looking for an experienced Senior Investment Risk Specialist tomanage investment risk analytics for various client portfolios and funds.Supporting decision-making and develop internal controls.
Collaborate withsenior stakeholders and handle ad-hoc projects.
Bloomberg's Multi-Asset Risk System (MARS) is a comprehensive suite of risk management tools that delivers consistent, consolidated results across client's entire firm.
Powered by Bloomberg's world-class pricing library, market data and mortgage cash flow engine, MARS enables front office, risk and collateral professionals to analyse their trading and investment portfolios, manage and mitigate their exposure and ready themselves for any turn of events.
The Team and the role
The Enterprise Product Platform and Risk Specialist team is responsible for supporting Bloomberg's Enterprise Product Platform and MARS Solutions, including areas such as Front Office, Market Risk, XVA, and SIMM.