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Financial Risk

financial risk

The focus on risk across finance is never higher and more under the microscope than after the 2007 landscape. Organisations now have been tasked with transitioning their financial risk management practices into high performing divisions with high class candidates from top institutions both academic and/ or through career tenure.

Areas of specialism

Credit risk, market risk, liquidity risk, quantitative risk, stress testing, modelling, risk technology, risk-based capital management, risk reporting and Risk management information.

Recent placements

  • Global Head of Stress Testing
  • Credit Risk Director
  • CVA Trading Analyst
  • Quantitative Counterparty Risk VP
  • Basel III Project Manager
  • Prime Brokerage Risk VP
  • Global Head of Market Risk – Global Investment Bank
  • Market Risk SVP
  • Commodities Market Risk VP
  • Market Risk Controller
  • Director – Risk Technology
  • Risk Reporting –SVP

 

Latest jobs


Salary None specified
Job type Permanent
Sector Various
Location NYC
Reference VaR Modeler
Description A Leading Multinational Bank in NYC is looking for a skilled Quant Analyst...
Salary None specified
Job type Various
Sector Various
Location Pennsylvania
Reference LFG- Database Developer
Description A growing Financial Management Firm based in Pennsylvania is seeking a...
Salary None specified
Job type Permanent
Sector Various
Location Pennsylvania
Reference LFG- Quant Modeler
Description My client, a Pennsylvania based Wealth Management Firm...

 

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