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Search results: 1 - 10 of 165

Firmwide Market Risk - Market Risk Basel Group VP - Capital Projects (170065518)

100%

JPMorgan Chase. Brooklyn

JPMorgan Chase is a leading global financial services firm with assets of $2.5 trillion and operations in more than 60 countries. The firm is a leader in investment banking, commercial banking, financial services for small business and consumers, financial transaction processing, asset management and private equity. Market Risk is an...

Employment Type Full Time
Region/Country Americas, United States

Market Risk Analyst # 094267 (094267)

100%

Credit Suisse. Wroclaw

Exciting opportunities have arisen in the Market Risk Reporting team (MRR) in Poland. MRR comprises approximately 80+ staff globally with presence in Mumbai, New York, London and Singapore. The team has overall responsibility for managing the end-to-end process of collating market risk data for measurement, analysis and subsequent reporting to...

Sector Asset Management
Employment Type Full Time
Region/Country Europe, Other, Poland

Real Time Risk Java Developer (1018762)

100%

Nomura.

Document Title Job Title: Real Time Risk - Senior Developer Department: Global Market IT Location: New York- midtown Company overview: Nomura is an Asia-based financial services group with an integrated global network spanning over 30 countries. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates...

Sector Asset Management
Employment Type Contract

Quantitative Analyst and Quantitative Developer (ENO - VP) # 098345 (098345)

100%

Credit Suisse. Warsaw

The Risk division is a highly visible, dynamic area of the firm where you can be an integral part of decisions making that supports the bank's business. Our responsibilities range from enterprise risk management to risk and finance reporting and regional risk teams covering the risk management for our entities....

Sector Asset Management
Employment Type Full Time
Region/Country Europe, Other, Poland

INTERNSHIP - Market Risk Analyst (160004FV)

100%

Societe Generale. New York

Environment DEPARTMENT DESCRIPTION SG CIB is the Corporate and Investment Banking arm of the Société Générale Group. Present in over 50 countries across Europe, the Americas and Asia.SG CIB provides corporates, financial institutions, investors and public sector clients with value-added integrated financial solutions. You will be part of the RISQ...

Sub Sector Non-Financial Corporate

Market Commercial Credit Manager III (137218BR)

100%

TD Bank. Jacksonville

About TD Bank, America's Most Convenient Bank TD Bank, America's Most Convenient Bank, is one of the 10 largest banks in the U.S., providing more than 8 million customers with a full range of retail, small business and commercial banking products and services at approximately 1,300 convenient locations throughout the...

Sector Asset Management
Sub Sector Traditional Asset Manager
Employment Type Full Time

Market Risk Associate –EM & FX-Span/Por Speaking (1012098)

100%

Nomura.

Document Title Job title: Market Risk Associate - EM & FX (Spanish/Portuguese Speaking) Corporate Title: Associate Location: Midtown - New York Company overview Nomura is an Asia-based financial services group with an integrated global network spanning over 30 countries. By connecting markets East & West, Nomura services the needs of...

Sub Sector Non-Financial Corporate
Employment Type Permanent

CIO & Treasury Asia P&L Risk Team Lead – Vice President (170050907)

100%

JPMorgan Chase. Hong Kong

Business overview CIO's core mandate is to manage the Firm's Structural Interest Rate and FX risks and conservatively invest the Firm's excess deposits Treasury's core mandate is to manage short term Structural Interest Rate & Liquidity Risk and work in close partnership with all line of business to help manage...

Employment Type Full Time

Advisory Services Manager - Financial Services - IT Risk & Assurance Services (DAL0048F)

100%

Ernst & Young. Dallas

We are the only professional services organization who has a separate business dedicated exclusively to the financial services marketplace. Join Financial Services (FSO) and you will work with multi-disciplinary teams from around the world to deliver a global perspective. Aligned to key industry groups including asset management , banking and...

Sub Sector Traditional Asset Manager
Region/Country Americas, United States

Credit Risk Reporting and Analytics (VP) #097866 (097866)

100%

Credit Suisse. Singapore

The main focus of the role is to support credit risk and RMC reporting needs covering current and potential credit exposures across various cuts of the trading and lending portfolios and Emerging Market country risk for Asia Credit Risk Management. These reports are used to help senior risk managers understand...

Sector Asset Management
Employment Type Full Time
Region/Country Asia / Pacific, Singapore
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