Market Risk Analyst Jobs In Market
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| Search results: 21 - 30 of 136 |
Senior Model Performance Analyst (670502) | 82% |
National Australia Bank.
Secondment/Fixed Term Contract to Feb 2013 Bourke Street Location Group Risk At NAB, it's all about our people reaching their full potential... And that means we drive the sustainable success of our business. NAB is experiencing exciting times under the guidance of a robust management team and numerous new initiatives.
Date posted: 05/07/2012.
| Sector | Asset Management |
| Sub Sector | Unspecified |
| Region/Country | Oceania, Australia |
Manager (187910707) | 82% |
KPMG. Hong Kong SAR
The aim of KPMG member firms is to turn knowledge into value for the benefit of the firms' clients, people, and the capital markets... Overview KPMG is a global network of professional firms providing audit, tax, and advisory services, with an industry focus. With more than 138,000 people worldwide, member.
Date posted: 04/21/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Region/Country | Asia / Pacific, China |
IB Tech - Application Developer - VP - based in London (120026502) | 82% |
JPMorgan Chase. LND-25 Bank Street / 32173
Strong Developer/team lead for the Market Risk Technology... You will provide high quality technology solutions that address business needs by developing applications within mature technology environments. You will utilize mature programming methodologies and languages and adhere to coding standards, procedures and techniques while contributing to the technical code documentation. Knowledge.
Date posted: 05/23/2012.
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
Analyst: BCUK Forecasting (00062361) | 82% |
Barclays Bank. Northamptonshire
Analyst: BCUK forecasting B5 Northampton Barclaycard is currently recruiting for a Analyst: BCUK forecasting... This is a key position within a high impact team, supporting the drive to grow and improve the performance of the UK cards business. The role's official reporting line is into the B7 Head of Portfolio.
Date posted: 05/01/2012.
| Sector | Asset Management |
| Sub Sector | Risk & Performance / Pension |
| Region/Country | Europe, UK |
Insurance & Investment Management - Rating Agency Advisory - SA or Manager - London (AS02692) | 82% |
PricewaterhouseCoopers UK. London
We are a market leading Rating Agency Advisory (RAA) team with a successful track record in providing consultancy advice to... Who we are looking for We are currently looking for Senior Associates or Managers to join us in the Insurance and Investment Management team in our prestigious More London offices.
Date posted: 04/22/2012.
| Sector | Consulting |
| Sub Sector | Other |
| Region/Country | Europe, UK |
Business Analyst - Liquidity Risk Infrastructure (120013425) | 82% |
JPMorgan Chase. New York-277 Park Avenue / 03363
JPMC has mobilized a global Liquidity Risk Infrastructure (LRI) program that is a firm-wide, 'mission critical' effort to enhance our liquidity risk management monitoring and reporting capabilities, which will include a redesign of the related supporting technology and infrastructure... The LRI program will implement a world class liquidity risk reporting...
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Americas, United States |
Analyst Strategy (MSG-808394) | 82% |
Macquarie Bank. Sydney
Macquarie Group is a global provider of banking, financial, advisory, investment and funds management services. At Macquarie we offer you the experience and freedom to grow your career whilst making your mark within a highly successful organisation. Key to our success is the entrepreneurialism we encourage in all our people.
Date posted: 05/08/2012.
| Sector | Consulting |
| Sub Sector | Other |
| Employment Type | Permanent |
Emerging Markets Sovereign Credit Analyst (89633022) | 82% |
T. Rowe Price. Baltimore
PRIMARY PURPOSE OF THE POSITION The Emerging Markets Sovereign Credit Analyst will be responsible for the credit coverage of selected sovereign issuers... The Analyst will conduct investment research for the Global Fixed Income and Emerging Market Debt teams... PRINCIPAL RESPONSIBILITIES Conduct independent, fundamental sovereign credit research. Analyze and explain economic.
Date posted: 04/26/2012.
| Employment Type | Full Time |
| Region/Country | Americas, United States |
Executive Director, Corporate Finance Advisory (120030035) | 82% |
JPMorgan Chase. New York-383 Madison Avenue (BSC) / 41039
Lead corporate finance discussion with clients on various corporate finance topics including financing alternatives, asset/liability management, liquidity, risk management, and structured products... Provide guidance on financial analysis using statistical and mathematical tools like multivariate regression analysis, Monte Carlo-based models, portfolio risk management models, and capital structure optimization models, and present...
Date posted: 05/23/2012.
| Sector | Capital Markets |
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Americas, United States |
Fixed Income Portfolio Analyst - Financial Reserves Management (725291) | 82% |
Wellington Management. Boston
Wellington Management Company, LLP is one of America's oldest investment management firms. The company is headquartered in Boston with ten affiliate offices in the United States and around the world. With approximately $660 billion in assets under management, Wellington Management Company, LLP manages global equity, fixed income, commodity, and multi-asset.
Date posted: 04/25/2012.
| Sector | Asset Management |
| Sub Sector | Other |
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