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We are seeking a risk manager for the market risk fixed income structured products area (exotic interest rates, credit and hybrid trades). Duties include: The oversight of the production of risk reports for the structured products area. Understanding the complex risks inherent in exotic structures. Creating and monitoring risk limits. Understanding the ...

An excellent opportunity has arisen for a Finance Manager to join Siemens Real Estate in our Frimley Headquarters. The RoleThis role will involve effectively controlling the financial records of SRE to meet business objectives and ensure statutory and corporate compliance are undertaken. You will ensure the financial records booked in SAP support the ...
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A top tier US investment bank is currently looking for a VP level candidate with an exotic credit derivatives Product Control background to join their front office facing Market Risk team. This is an opportunity to get full exposure to the market and the product as you will be working with the traders to help manage their market exposure, set / review risk ...
A leading equity based hedge fund is looking for candidates with Product Control back ground (on equities preferable) to join their Risk team in Hong Kong. This is will give you the opportunity to work in a front office environment and get full exposure to the market and equities products. You will be working on VaR models, Stress Tests and the Greeks. The ...

An international bank has an exciting opportunity to develop your career in risk. Duties cover:- Monitoring trading activity and preparing risk management reports- Monitoring credit limits and market rates- Analyse performance activity- Produce reconciliation reports and value at risk Your experience must include:- A good understanding of risk management ...
A high-calibre, extensively experienced and qualified market risk regulatory VP is required by one of the world's leading banks, which provides its clients with investment banking, private banking and asset management services worldwide. The role is based in London.The regulatory coordination team is an integral part of the bank and this role will focus on ...

Mayor International Investment banking group are looking to hire an experienced risk manager to their treasury function based at their head offices in the City Role Purpose:- Support the Senior Manager to ensure that the Interest Rate & Foreign Exchange Risks arising in the commercial units of the Group are properly identified, measured, managed, ...
A tier 1 U.S. investment bank is looking for a senior Market Risk manager to join their FX trading team in HK. This is a senior Front office role where you will be working directly with the European heads within trading and risk management in order to limit and analyze the trades done within FX from a risk management point of view. Candidates with ...
A top tier US Investment bank are seeking an experienced market risk analyst for their International PWM team. This desk-based position will involve you working alongside senior management in order to develop, maintain and enhance a robust risk management architecture focused on measuring and managing the market risk exposures of PWM discretionary ...
A top tier US Investment bank is seeking an experienced market risk manager to fill a senior position within their Hong Kong based risk management team. This is a highly competitive trader facing role in which you will be a key market risk contact for the Equities Exotics traders and heads of desk. You will analyze pre-trade proposals, making appropriate ...
A leading global investment bank are seeking a senior quantitative risk manager to head up their risk portfolio analytics team based in Singapore. The head of portfolio risk analytics will provide technical leadership, oversight and review of all portfolio shaping & stress testing output from Risk Analytics. You will also liase with the Group Product ...
A top tier U.S. investment bank is looking to hire a Market Risk manager to work closely with the Asia front office management team to develop cutting edge analysis of performance and risk-return. Based on the interest rates and fixed income desk you will play a key role in pre-trade approvals, new product development, and working closely with both the desk ...
A leading top tier European investment bank is looking for a front office risk managers on structured credit products to join their Structuring team on credit products. This is a front office role where you will be responsible for pricing and execution of all exotic Credit linked products, and liaise with traders to ensure the integrity of risk and PnL ...
A top tier U.S. Investment Bank is currently seeking an experienced market risk analyst for their Global Structured Products team. The market risk analyst will be responsible for monitoring all market risk, VaR & position limits across global capital Markets on structured credit. This trader facing role also involves the ongoing review, validation and ...
A tier 1 U.S. investment bank is looking for a strong candidate to join their front office team in Hong Kong. You will be working with Senior Market Risk Managers as well as traders and structurers and be responsible for analyzing and limiting the Market Risk taken on equity Derivatives products. this is a fantastic opportunity for candidates who would be ...
A top European bank is currently seeking an experienced credit risk analyst to take up a senior desk based position on their credit team, covering mostly equity derivatives, this front office position involves daily contact with the trading desks, credit analysts and market risk teams in order to set and implement risk strategy, as well as play a key role ...
A leading top tier European investment bank is looking for a front office risk managers on structured credit products to join their Structuring team. This is a front office role where you will be responsible for pricing and execution of all exotic Credit linked products, and liaise with traders to ensure the integrity of risk and PnL reports. The suitable ...
A tier 1 European Bank are seeking candidates with strong derivatives experience for their front office market risk department. The Senior Market Risk Analyst will be responsible for the daily analysis of the derivatives portfolio, working alongside the trading team and senior risk managers to set and implement risk strategy, as well as play a key role in ...
A leading top tier European investment bank is looking for a front office risk managers on structured credit products to join their Structuring team on credit products. This is a front office role where you will be responsible for pricing and execution of all exotic Credit linked products. The suitable candidate must have extensive front office market risk ...
A leading global investment bank are seeking an experienced market risk manager for their global structured credit team. The Market Risk Manager will be responsible for the analysis of the structured credit portfolio across global capital markets, reporting directly to Head of Credit Trading Risk on sensitivities, credit positions and VaR. This trader ...
An operational risk product controller is required, at AVP and VP level, for one of the world's leading international investment banks. The role is based in London's Docklands.This is a position working within product control team as the operational risk specialist . Reporting to the European head of operational risk management, the individual will be ...
A tier 1 U.S. investment bank is looking for a VP level Market Risk Manager to join their Equities Trading Desk. This is a trading floor based role where you will get to work on the innovation equity derivatives and hybrid products You will be working directly with the traders to help manage their market exposure and set and review risk strategies. You will ...