Capital Markets Risk Analyst Jobs in United Kingdom | Glassdoor
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Capital Markets Risk Analyst Jobs in United Kingdom

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  • 3.7
    RBC – United Kingdom
    1 days ago 13hr
    strategic advice on capital structure and corporate activity. Proactively identify operational risks/ control deficiencies… and one of the largest banks in the world, based on market capitalization. We are one of North Americas leading diversified financial…
  • 3.4
    Capgemini Financial Services UK Ltd – London, England
    5 days ago 5d
    Capgemini Financial Services is hiring Business Analyst with strong backgroundCapital Markets experience. Main purpose of the role:… counterparty risk identification and measurement Desirable: Functional design and database modelling for risk management…
  • 4.0
    Funding Circle UK – London, England
    26 days ago 26d
    Supporting the Capital markets team on new transactions Assess current controls and maintaining a robust risk management process… The Role The "go to" person for all aspects of Capital Markets Operations. This is a great opportunity to build a department…
  • 3.6
    London - City – City of London, England
    6 days ago 6d
    reputable Lloyd's Market Insurer is recruiting for a Capital Analyst in their London Office. Reporting into the Capital Modelling Manager… areas such as reporting, risk, reserving and pricing. Experience Required Experience of working in a Capital role/team from within…
  • 3.3
    RMS – City of London, England
    4 days ago 4d
    and reducing risk, and building societal resilience to disaster. The Capital Markets Team: RMS Capital Markets specialises in… Graduate Analyst, Capital Markets London, UK Did you know that there is a 1 in 5 chance that a hurricane in the U.S. will cause…
  • 4.4
    Baringa Partners – London, England
    7 days ago 7d
    prevalent than in the dynamic world of Capital Markets, where we have experienced unprecedented market demand in an industry which is… regulatory change programmes, we work across the entire capital markets sector, working alongside our clients to tackle interesting…
  • LMA – London, England
    26 days ago 26d
    a Quant who has a great understanding of the regulatory and capital implications to join the team at a senior level and work in…
  • 3.2
    Financial Conduct Authority – London, England
    13 days ago 13d
    thinking on emerging risks and new developments in wholesale capital markets (e.g. liquidity in bond and other markets; high-frequency… Permanent Date Posted: 14 Jun 2017 Associate Analyst, Market Analysis and Risk Markets Policy The salary range will be approximately…
  • 3.5
    Barclays – London, England
    19 days ago 19d
    IAS39) · Capital regulatory standards (e.g. CRDIV) · Portfolio risk management knowledge · Forecasting and risk modelling… calculation · Impairment and capital reporting and analysis · Forecasting, stress testing and risk appetite. We are an equal…
  • DIVYANGA LTD – London, England
    26 days ago 26d
    experienced Business Analysts with strong regulatory knowledge to work on a major project within Capital Markets based out of London… related business processes Knowledge of structured credit, FX , Risk, Swaps, Fx options, Futures and derivatives Hands on experience…
  • 3.5
    Barclays – London, England
    21 days ago 21d
    Title: Capital & Risk Information Services(CRIS) IB – AVP-BCBS239 Corporate Grade: AVP Reports to: IB CRIS Market Risk No… Title: Capital & Risk Information Services(CRIS) IB – AVP-BCBS239 Corporate Grade: AVP Reports to: IB CRIS Market Risk No…
  • 3.2
    London Stock Exchange Group – United Kingdom
    13 days ago 13d
    divisions: Capital Markets (broad range of international equity, bond and derivatives markets); Post Trade (post trade and risk management… financial markets. This is achieved through leading the world in providing access to capital, helping customers optimise capital resources…
  • 3.4
    Pontoon – London, England
    13 days ago 13d
    Quant Risk Analyst, Market or Credit Risk, Methodology, London, 6 months Tier One Investment Bank is looking to appoint a Quantitative… Quantitative Risk Analyst to their team to work within and develop their risk methodologies. This role will sit in the Counterparty…
  • 2.9
    Risk Management Solutions (RMS) – London, England
    27 days ago 27d
    and reducing risk, and building societal resilience to disaster. The Capital Markets Team: RMS Capital Markets specialises… Graduate Analyst, Capital Markets London, UK Did you know that there is a 1 in 5 chance that a hurricane in the U.S. will…
  • 3.2
    London Stock Exchange Group – United Kingdom
    14 days ago 14d
    divisions: Capital Markets (broad range of international equity, bond and derivatives markets); Post Trade (post trade and risk management… counterparty risk across different markets in a comprehensive manner; Assess the aggregation of risks by risk type and product…
  • 3.2
    Financial Conduct Authority – London, England
    13 days ago 13d
    thinking on emerging risks and new developments in wholesale capital markets (e.g. liquidity in bond and other markets; high-frequency… Date Posted: 14 Jun 2017 Associate Data Analyst, Market Analysis and Risk Markets Policy The salary range will be approximately…
  • 3.7
    Accenture – United Kingdom
    5 days ago 5d
    migrations Risk management - cross asset risk management, analytics, client valuation/default valuations, market and credit risk Securities… and skills. Responsibilities: 1. Delivery within Capital Markets Change Projects Working with a team to define a business…
  • 3.4
    Bank of America – London, England
    Today 5hr
    and debt capital raising, corporate lending, sales and trading in fixed income, commodities, currency and equities, risk management… country/credit capital, legally binding commitments, total exposure and asset quality Establish appropriate internal risk ratings for…
  • 3.8
    CPP Investment Board – London, England
    25 days ago 25d
    recruiting for a Fixed Income Analyst/Associate within the Global Capital Markets (GCM) group in Public Market Investments based in London… the Senior Portfolio Manager who runs GCM Fixed Income, the Analyst/Associate will work closely with the Fixed Income team and…
  • 3.5
    Credit Suisse – London, England
    1 days ago 13hr
    flagged as credit risk, while remaining aware of market conditions and those clients at risk, to actively lead risk to the firm.… schedules, margins & haircuts. Daily Risk Weighted Assets to help reduce Capital charge. Ensure dividend recalls are…
  • 3.5
    UBS – London, England
    20 days ago 20d
    –assist on the production, review and analysis of our market risk capital requirements –cover daily, monthly and quarterly reporting…
  • 3.5
    Direct Line Group – Bromley, England
    11 days ago 11d
    fantastic opportunity to join Direct Line Group as a Market & Credit Risk Analyst on a perm contract based at our head office in Bromley… the Internal Economic Capital Model (IECM) as well as interacting with the business and the Financial Risk team to help them use…
  • 4.3
    McGregor Boyall Associates – London, England
    13 days ago 13d
    hire a Market Risk Anlayst at VP grade. The position will report directly to the Head of Market Risk Aggregation and Capital… jobsSend to a friendAdd to shortlist Apply now Market Risk Analyst Market Posted: 16/05/2017 Location: London Job…
  • 3.7
    EY – United Kingdom
    12 days ago 12d
    Services with regulatory / risk modelling challenges in areas such as Market, Credit risk and Operational Risk. QAS works closely with… lead quantitative market risk-related client engagement teams and internal projects relating to traded markets, including derivative…
  • 3.4
    Capgemini – London, England
    13 days ago 13d
    Services within either Insurance, Banking or Capital Markets Experience in Risk, Compliance and Regulatory projects Experience… Capgemini Financial Services requires an experienced Risk & Compliance Business Analyst with Technical / Management skills in the area…
  • 3.5
    Barclays – London, England
    12 days ago 12d
    Act as the Lead Business/Data Analyst in the Credit Risk Technology team. Support the Risk Engine calculations, including pre-deal… data extraction. Risk, pricing and derivatives knowledge. Credit risk business domain knowledge. Risk and Control Objective…
  • 2.9
    Gazprom Marketing & Trading – London, England
    26 days ago 26d
    , enhancements and maintenance of libraries for Risk (Market Risk, Credit Risk, and Product Control). The role will involve a wide… successful applicant will assist the other Quantitative Risk Analysts to support, enhance and extend the current validation/modelling…
  • 3.6
    Barclays Global Investors – London, England
    13 days ago 13d
    CRIS Market Risk teams on Operational Risk incidents and liaise effectively with Risk Oversight. Represent CRIS Market risk in relevant… effectively Prior experience in Market Risk/ Risk reporting with a good level of knowledge on the Market Risk infrastructure in an Investment…
  • 3.2
    London Stock Exchange Group – United Kingdom
    20 days ago 20d
    divisions: Capital Markets (broad range of international equity, bond and derivatives markets); Post Trade (post trade and risk management… financial markets. This is achieved through leading the world in providing access to capital, helping customers optimise capital resources…
  • 3.9
    Mansion House Consulting Ltd – London, England
    Today 11hr
    innovative solutions to the Corporate and Transaction Banking, Capital Markets, Wealth and Investment Management communities through our… we require an experienced Infrastructure/Technical Business Analyst. The candidate must be able to create a service management…
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