Risk Management Jobs

Showing 96 results

Sort by:

Market Risk Analyst
Singapore RiverNegotiable

About the company: Leading Asian Digital Asset Trading Platform Fully licensed in Singapore Responsibilities: Assist the Head of Risk with daily monitoring and risk management activities.Track market news, positions, and significant changes.Work with Front Office to implement risk controls and resolve issues promptly.Prepare and deliver accurate r...

Operational Due Diligence Manager Leading Asset Manager:
SingaporeNegotiable

Responsibilities for the Operational Due Diligence Manager - Leading Asset Manager:Lead structured ODD reviews for private equity, real estate, hedge funds, and other investment vehicles-assessing infrastructure, internal controls, risk frameworks, and compliance mechanisms.Develop and maintain a tracking system for identified issues - coordinate u...

Tier-1 Multi Strategy Hedge Fund Market Risk Manager
SingaporeNegotiable

Responsibilities for the Market Risk Manager - Tier-1 Multi Strategy Hedge Fund: Create and refine controls for Risk Framework Development across asset classesAssess proposed Trading initiatives, research their risk profiles, advise senior leadership on appropriateness and feasibility, and lead the onboarding of new strategies.Develop and enhance R...

Elevate your career

Take the first step toward your next opportunity - submit your CV and get started today.

Register with us
Selby Jennings Start Your Career In Recruitment
Internal Audit Credit Risk Management (m/f/d)
Hamburg€90000 - €100000 per annum

Eine etablierte Finanzinstitution sucht eine:n erfahrene:n Spezialist:in für Risikomanagementsysteme zur Verstärkung des Teams der Internen Revision. In dieser Rolle tragen Sie aktiv zur Weiterentwicklung moderner Prüfverfahren bei und stellen die Qualität und Verlässlichkeit der Risikomanagementsysteme in einem dynamischen und zukunftsorientierten...

CRE Credit Risk Analyst
IndianapolisUS$72000 - US$84000 per year

Specific ResponsibilitiesReview pledged assets to ensure eligibility as collateral, appropriate quality based on underwriting and loan structure, accurate reporting, compliance with applicable laws and policies, and proper collateral status.Conduct reviews of assets such as residential loans, multifamily loans, commercial real estate loans, home eq...

VP Counterparty Risk/XVA Quant
New York CityUS$150000 - US$190000 per year

A Global Investment Bank, who has recently been growing out their Credit and Market Risk team over the last 2-3 years, is looking to hire a VP level candidate on their Counterparty Credit Risk Analytics team to primarily focus on the enhancement of PFE modeling and analyzing various modeling approaches.This individual will lead discussions on model...

Navigate the Risk Management Job Landscape

Selb Jennings works with global banks, asset managers and insurers to match skilled risk specialists with employers seeking strong control frameworks. 

From counterparty analytics and product risk governance to enterprise risk leadership and regulatory initiatives, we connect analysts, managers and governance experts to roles where they can make an impact. 

Advance your career by applying your market, credit and operational risk expertise across leading organisations.