Investment Risk jobs
81 jobs found
Investment Risk & Compliance Manager
We are working with an Investment Management business that continues on an exciting period of growth. They are looking to add an Investment Risk & Compliance Manager to...
Investment Risk Manager - Rates - Morgan McKinley
The Risk Team is made up of Risk Managers and Analysts based in London. The team is responsible for oversight and risk management of the Funds positions and...
Investment Risk Manager - Rates - Morgan McKinley
The Risk Team is made up of Risk Managers and Analysts based in London. The team is responsible for oversight and risk management of the Funds positions and...
Investment Risk Analyst, Fixed Income - Wellington Management Company, LLP
About Us Wellington Management offers comprehensive investment management capabilities that span nearly all segments of the global capital markets. Our investment solutions, tailored to the unique return and...
Investment Risk Analyst, Fixed Income - Wellington Management Company, LLP
About Us Wellington Management offers comprehensive investment management capabilities that span nearly all segments of the global capital markets. Our investment solutions, tailored to the unique return and...
Investment Risk Manager - Macquarie Group
Join the team responsible for managing Investment Risk across Macquarie Asset Management's public markets businesses. At Macquarie, our advantage is bringing together diverse people and empowering them to...
Prudential Risk & Reporting Analyst
Prudential Risk & Reporting Specialist A well-established investment management firm is looking to hire a Prudential Risk & Reporting Specialist to support its European risk function. This role...
Risk Officer - Lorien Impellam
Director - Securitisation Risk Officer (SRO) Contract: 6 months Location: London (Hybrid) Sector: Investment Banking We are seeking an experienced Director-level Securitisation Risk Officer (SRO) to join the...
Investment Reporting
A Mayfair-based, Private Investment Office is hiring an Investment Reporting Analyst as it prepares to open to third-party capital. The firm invests across public equities, hedge funds, private...
Senior Associate, Actuarial and Funding Risk, Institutional investment manager, London - eFinancialCareers
Responsibilities Deliver and enhance actuarial and funding risk modelling, analysis and reporting for LGPS partner funds. Prepare asset-liability risk modelling using ALM software and oversee long-term funding strategy....
Senior Insurance Risk Associate Financial Risk - HFG
We're partnering with a leading global (re)insurer to hire a Senior Insurance Risk Associate into a high-impact Risk Management team. This is a standout opportunity to move into...
Senior Insurance Risk Associate (Financial Risk)
We're partnering with a leading global (re)insurer to hire a Senior Insurance Risk Associate into a high-impact Risk Management team. This is a standout opportunity to move into...
Senior Insurance Risk Associate Financial Risk - HFG
We're partnering with a leading global (re)insurer to hire a Senior Insurance Risk Associate into a high-impact Risk Management team. This is a standout opportunity to move into...
Associate - New Business
Associate - New Business Based: Edinburgh or Glasgow The Scottish National Investment Bank is seeking an Associate - New Business to support the front end of its investment...
Quantitative Equity Researcher - SEI Investments Europe Ltd.
Quantitative Investment Management (QiM) team manages over 50 equity strategies across a variety of geographies, investment styles and risk profiles. The team is experiencing strong asset and account...
Quantitative Developer - Fixed Income Risk- Global Quant & Systematic Investment Management
Salary: Competitive Location: London Summary : A chance to join a global quantitative and systematic investment manager, operating in all liquid asset classes across the world. They are...
Quantitative Developer - Fixed Income Risk- Global Quant & Systematic Investment Management
Salary: Competitive Location: London Summary : A chance to join a global quantitative and systematic investment manager, operating in all liquid asset classes across the world. They are...
Quant Trader - Multi-Asset Tail Risk / Convex Strategies / London / £ Base Benefits
We are supporting a buy-side Portfolio Manager running a multi-asset tail risk and convexity-focused strategy , who is looking to add a Quant Trader to their team. The...
Quantitative Developer - Risk & Portfolio Analytics London- Leading Global Hedge Fund
Location: London About the Role: Quantitative Developer wanted to join a high-impact risk engineering team at a leading Quant Fund. This role focuses on building and optimizing computational...
Technical Business Analyst - Credit Risk - Bonhill Partners
We're currently supporting an Investment Bank in their seach for a Senior Business Analyst for their Technology Innovation within Risk, focusing on driving strategic business analysis initiatives that...
