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Found 58 jobs
    • Luxembourg
    • €80000 - €110000 per annum
    • Posted about 20 hours ago

    As a Senior Risk Manager, you will work as part of a flexible team and contribute by assessing, monitoring, and reporting on all risks pertaining to the funds under the governance as well as further developing the risk culture within the organization. A key focus lies on our Real Estate and Infra...

    • Amsterdam
    • Negotiable
    • Posted about 20 hours ago

    The Credit Risk Model Validation Team is responsible for validating the risk models used by the bank worldwide. They assure that models are appropriate for the intended use and compliant with internal policies and external regulations. Their goal is to increase the Group's understanding of a mode...

    • London
    • Negotiable
    • Posted about 22 hours ago

    Responsibilities of the role: Coordinating with the Counterparty Credit Risk function and the IMM Model owners. Providing expertise and advice on regulations. Assisting with the delivery of Model applications and ad-hoc submissions. Supporting Risk-led meetings with regulators and major Requireme...

    • Singapore
    • Negotiable
    • Posted 2 days ago

    Responsibilities Perform a full cycle or digital transformation projects critical to risk computation and management from start to finish. To initiate proactive communication with internal and external stakeholders on areas of the industry direction, projects, and new innovations. To strategise a...

    • New York
    • Negotiable
    • Posted 7 days ago

    A top, systematic hedge fund is looking to hire a Quantitative Risk Analyst focused on supporting their Rates Trading business. The fund has been growing significantly over the past two years, and deploys quantitative trading strategies across all asset classes. Firm AUM is close to $5B in total ...