Risk Management jobs

Found 75 jobs
    • Paris
    • Verhandelbar
    • Posted about 7 hours ago

    If you are a self-motivated strategic thinker with strong analytical skills and experience in IRRBB, we want to hear from you! What you will do: Support the Treasury function in delivering high-quality IRRBB reports to regulators. Partner with business units to manage IRRBB and implement the IRRB...

    • Berlin
    • Verhandelbar
    • Posted about 7 hours ago

    Deine Aufgaben: Entwicklung und Umsetzung regulatorischer Anforderungen fรผr FinRep- und Liquiditรคtsmeldungen Unterstรผtzung bei der IT-Implementierung und Optimierung der Reportinglรถsungen bis zur Nutzung Planung und Steuerung der Umsetzung regulatorischer Anforderungen im Bereich Regulatory Repor...

    • Berlin
    • โ‚ฌ90000 - โ‚ฌ120000 per annum
    • Posted about 7 hours ago

    Das erwartet Dich: Du verantwortest mit Deinem Team die zentrale Value-at-Risk-Messung fรผr die Risikoarten Adressrisiko undOperationelles Risiko. Dazu gehรถrt die fachliche Weiterentwicklung der Methodik dieser Modelle sowie ihre Parametrisierung. Experten aus Deinem Team arbeiten in Weiterentwick...

    • Boston
    • Negotiable
    • Posted about 21 hours ago

    An international asset manager with US based operations in Boston is seeking an Investment Risk Manager. They are among the top 20 largest asset managers worldwide with ~$1 trillion in AUM. Established in the late 2000s, they use a multi-affiliate business model and have about 15 investment manag...

    • Aachen
    • โ‚ฌ100000 - โ‚ฌ115000 per annum
    • Posted about 24 hours ago

    Diese Rolle erfordert eine Person mit einem starken Hintergrund im Projektmanagement und mindestens 8 Jahren Berufserfahrung, insbesondere in der Zusammenarbeit mit kommunalen Versorgungsunternehmen und Energieanbietern. Der ideale Kandidat ist praxisorientiert, kommunikationsstark und in der Lag...

    • New York
    • US$230000 - US$300000 per year
    • Posted 1 day ago

    Key Responsibilities: Portfolio Management: Oversee and manage the Specialised Transaction Management (STM) portfolio for Corporate Finance America, ensuring smooth execution of complex finance transactions, with a particular emphasis on renewable energy projects. Team Leadership: Lead and mentor...

    • Amsterdam
    • Negotiable
    • Posted 5 days ago

    Role: Quantitative Risk Analyst Location: Amsterdam, Netherlands Blend quantitative analysis with risk management and develop models and algorithms to enhance trading strategies and support risk management at a fast-growing energy trading firm. Responsibilities: Model Development: Create models f...

    • Dรผsseldorf
    • Negotiable
    • Posted 6 days ago

    We are seeking a skilled and experienced professional to join a team as a Credit Risk Model Developer. In this role, you will play a key part in enhancing and implementing credit risk models and processes. This position offers an excellent opportunity to work on both regulatory and economic model...

    • Dรผsseldorf
    • Negotiable
    • Posted 6 days ago

    We are seeking a skilled and experienced professional to join a team as a Senior Model Validation Specialist. In this role, you will independently validate Wholesale Internal Ratings-Based (IRB) models, ensuring compliance with regulatory standards, and support ongoing improvements in model valid...

    • New York
    • US$190000 - US$240000 per year
    • Posted 7 days ago

    What You'll Do: Lead a team of experts in conducting credit analyses for major Asset Manager clients, including Pension Funds, Mutual Funds, and Sovereign Wealth Funds Draft detailed credit reports, assign internal credit ratings, and provide strategic recommendations to support trading activitie...

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