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Market Risk Analyst

1 November by Reed

Our client, a rapidly expanding international bank is urgently seeking a Liquidity & Market Risk Analyst to join their growing Risk Department. This role is crucial for monitoring and reporting the Bank’s exposures against a variety of liquidity, mar...

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Market Risk Analyst

1 November by Reed

Our client, a rapidly expanding international bank is urgently seeking a Liquidity & Market Risk Analyst to join their growing Risk Department. This role is crucial for monitoring and reporting the Bank’s exposures against a variety of liquidity, mar...

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Market Risk Manager

7 October by eFinancialCareers

Key Responsibilities: Risk Oversight : Identify and assess market risks across the trading portfolio, ensuring alignment with risk appetite and business mandates. Management Liaison : Serve as the eyes and ears for Global Risk Management on the trade...

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Market Risk Manager

29 October by eFinancialCareers

About the Role: Analyse and monitor risks across public credit asset classes (e.g., Investment Grade, High Yield). Partner with Front Office to provide independent risk insights and support strategic goals. Develop risk frameworks, policies, and key ...

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Private Market Risk Manager

29 October by eFinancialCareers

About the role In your role as Private Market Risk Manager you will make a meaningful and valued contribution from the outset. This role will provide a great opportunity to support the Head of Private Market Risk in the ongoing implementation and exp...

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Hedge fund - Commodities Market risk analyst

29 October by eFinancialCareers

Responsibilities Overseeing the risk taken by a number of Portfolio Managers A key part of the role is to interact with Portfolio Managers, to ensure trading adheres to the strategy Provide numerous risk reports for a variety of reasons (Individual P...

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1LOD Commodities Market risk - Leading trading house

2 November by eFinancialCareers

The role: Interact daily with Trading desks and Fundamental analysis teams to facilitate independent analysis, advise on portfolio management and challenge trading strategies Conduct weekly deep dives on current trading positions to identify risks an...

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Quantitative Risk Analyst, Market and Counterparty Risk Modelling - Assistant Vice President - BNP Paribas

29 October by eFinancialCareers

Company purpose: Our company purpose is to contribute to a responsible and sustainable economy by financing and advising clients according to the highest ethical standards. Our employer promise is built around three pillars: Being a great place to wo...

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Head of MVRM Rates

Yesterday by Deutsche Bank

Job Description: Job title: Head of Market Risk and Valuation Risk - Rates Corporate title: Managing Director Location: London Overview The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market,...

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Senior Risk & Pricing Platform Product Specialist

29 October by Bloomberg

Multiple solutions. One system. 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 librar...

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Senior Quantitative Risk Analyst

3 days ago by eFinancialCareers

Key Responsibilities: Develop and implement quantitative models for market risk assessment, focusing on metals trading. Conduct comprehensive stress testing and scenario analysis to evaluate potential impacts on the portfolio. Monitor and analyze mar...

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Consultant - Investment

30 October by eFinancialCareers

New role for an Actuary with investment insurance experience, to work with reinsurers and insurers on specifically on market risk modelling and management, Solvency UK reform, illiquid assets, and investment strategies. The ideal candidate has experi...

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Capital Reporting - US Banking Giant

29 October by eFinancialCareers

Prudential and financial regulatory reporting. Ideally but not essential IFPR Experience Familiar with standardized market risk rules under the Capital Requirements Regulation Previous regulatory reporting Knowledge of regulatory reporting software p...

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Investment Risk Manager, Fixed Income, Global Fund Manager, London

29 October by eFinancialCareers

Responsibiliies: Investment risk analysis across their fixed income portfolio, analysing fixed income rates, bonds, inflation swaps futures, and option pricing Liaising with Portfolio Managers to refine analyses and communicate key portfolio findings...

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Regulatory Controller - Finance

4 days ago by eFinancialCareers

About Morgan Stanley Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm's employees serve clients worldwide including cor...

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Internal Audit Manager, Risk

29 October by eFinancialCareers

I am working with a banking business that focusses on serving the markets space across FICC, with a global reach, who are actively hiring an Internal Audit Manager to focus on their risk management portfolio. Covering all financial risk stripes with ...

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Model Risk Risk Management

Yesterday by eFinancialCareers

Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exp...

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Internal Audit Contractors

29 October by eFinancialCareers

Applicants should be internal auditors with a strong appreciation of the risks / controls associated with any of the following: Front Office Conduct Controls & Surveillance Traded Markets Products Projects & Programmes Financial Crime Market Risk / C...

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Quantitative Strategist Senior Analyst - Senior Analyst/ Developer Risk and Profit & Loss P&L

29 October by Deutsche Bank

Job Description: Job Title Quantitative Strategist Senior Analyst - Senior Analyst/ Developer (Risk and Profit & Loss (P&L) Location London Corporate Title Associate Group Strategic Analytics (GSA) is part of Group Chief Operation Office (COO) which ...

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Model Validation - AVP

29 October by eFinancialCareers

Description: Perform independent validations of the market risk models, pricing models and stress methodologies The role requires regular interaction with the CROs, Heads of Market and Credit Risk as well as regulators and internal audit. Each model ...

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Model Validation Quant - VP

30 October by eFinancialCareers

The Model Risk Management (MRM) within ERM is responsible for model governance and the validation of models used by the bank in EMEA. This includes, among others, risk models which are used for risk measurement and decision-making purposes. MRM works...

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Market Disruption Project Manager

29 October by eFinancialCareers

Overview: Are you an experienced Project Manager with Capital Markets, Risk, and Regulatory expertise? Join a Tier 1 Bank on their Global Market Disruption Programme, driving the delivery of the project and programme management as they make improveme...

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Associate - Banking and Capital Markets

7 October by eFinancialCareers

Key Responsibilities: Assist with various ad-hoc tasks and project work across the team. Utilize your advanced Excel skills (including VBA, Macros, SQL) to support data analysis and reporting needs. Engage with in-house systems (full training provide...

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Commodities Credit Senior

2 days ago by eFinancialCareers

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. The Risk division encompasses the Credit Risk, Country Risk...

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Risk Implementation Specialist - Financial Solutions

30 October by Bloomberg

The Risk Implementation Team provides our clients outstanding service in scoping, deployment, and integration of our solutions within the framework of their existing businesses. Today, Risk Implementations handle multi-asset risk products, which incl...

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