Risk Officer Jobs In Market
Create job alert using this search criteria
| Search results: 21 - 30 of 412 |
IB F&BM - Valuation Control Group VCG (Credit) - Analyst/Associate - London (120023385) | 86% |
JPMorgan Chase. LND-125 London Wall / 01215
Investment Bank Valuation Control Group - Analyst/Associate (London) Business Description : Valuation Control Group (VCG) is an independent group within Finance whose primary responsibility is to ensure that the firm's risk portfolios are fairly valued... VCG highlights concentrations in risk or uncertainties... The group sets independent pricing and reserve policies.
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
IB F&BM - Valuation Control Group VCG (Credit) - Associate - London (120034689) | 86% |
JPMorgan Chase. LND-25 Bank Street / 32173
Investment Bank Valuation Control Group - Associate (London) Business Description : Valuation Control Group (VCG) is an independent group within Finance whose primary responsibility is to ensure that the firm's risk portfolios are fairly valued... VCG highlights concentrations in risk or uncertainties... The group sets independent pricing and reserve policies.
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
Risk Controller (Risk Controller_WL) | 86% |
Societe Generale. Hong Kong
This role will work with RISQ/HK department, to perform the daily risk operational tasks related to credit risk arising from market activities... Job is an essential part of capital market follow up and monitoring, which may entail some pressure given the market environment with short response time to FO.
Date posted: 05/08/2012.
| Sector | Asset Management |
| Sub Sector | Other |
IB - Country Risk Reporting - Analyst/Associate - London (120018010) | 86% |
JPMorgan Chase. LND-Canary Wharf / 9EU182
J. P. Morgan is a leader in financial services, offering innovative and intelligent solutions to clients in more than 100 countries with one of the most comprehensive global product platforms available. We have been helping our clients to do business and manage their wealth for more than 200 years and...
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
MR Regulatory Programme Delivery Phase PM VP/ED (608362) | 85% |
Nomura. UK
Risk Management The Risk Department at Nomura is broadly organised according to the main risk classes: Market Risk, Credit Risk (credit exposure measurement), Operational Risk, and Global Risk HQ which performs a cross-functional role of co-ordination, support and consolidated reporting to senior management... The Risk Department provides senior management...
Date posted: 04/24/2012.
| Sector | Asset Management |
| Sub Sector | Traditional Asset Manager |
| Employment Type | Permanent |
| Region/Country | Europe, UK |
Risk - Relationship Manager, Market Risk Operations - AVP (4058) | 85% |
Deutsche Bank.
About the company Overall Purpose of Role To facilitate and support the team's accurate, complete and timely production of daily market risk reports across the Global Markets businesses... To be an effective and flexible first point of contact for market risk issues from Finance, Market Risk Management, Middle Office and...
Date posted: 04/17/2012.
| Sector | Asset Management |
| Sub Sector | Other |
| Region/Country | Asia / Pacific, Singapore |
MR & Regulatory Programmes Programme Coordinator (608358) | 85% |
Nomura. UK
Risk Management The Risk Department at Nomura is broadly organised according to the main risk classes: Market Risk, Credit Risk (credit exposure measurement), Operational Risk, and Global Risk HQ which performs a cross-functional role of co-ordination, support and consolidated reporting to senior management... The Risk Department provides senior management...
Date posted: 04/24/2012.
| Sector | Asset Management |
| Sub Sector | Unspecified |
| Employment Type | Permanent |
| Region/Country | Europe, UK |
Manager - Financial Accounting Advisory Services - (Commodity & Energy Trading) Houston, New York, Chicago, San Francisco (HOU000JL) | 85% |
Ernst & Young. Houston
Description Ernst Young's Financial Accounting Advisory Services (FAAS), currently has an exciting career opportunity for a Manager within its Commodities Markets advisory team. Commodities Markets is a national competency based service within FAAS that provides audit and advisory services to companies with commodity operations and exposure. The practice is comprised.
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Energy |
| Region/Country | Americas, United States |
Experienced Staff - Financial Accounting Advisory Services - (Commodity & Energy Trading) - Houston (HOU000JJ) | 85% |
Ernst & Young. Houston
Ernst Young's Financial Accounting Advisory Services (FAAS), currently has an exciting career opportunity for an Experienced Staff within its Commodities Markets advisory team. Commodities Markets is a national competency based service within FAAS that provides audit and advisory services to companies with commodity operations and exposure. The practice is comprised.
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Energy |
| Region/Country | Americas, United States |
Senior - Financial Accounting Advisory Services - (Commodity & Energy Trading) - Houston (HOU000JK) | 85% |
Ernst & Young. Houston
Ernst Young's Financial Accounting Advisory Services (FAAS), currently has an exciting career opportunity for a Senior Consultant within its Commodities Markets advisory team. Commodities Markets is a national competency based service within FAAS that provides audit and advisory services to companies with commodity operations and exposure. The practice is comprised.
Date posted: 05/23/2012.
| Sector | Asset Management |
| Sub Sector | Energy |
| Region/Country | Americas, United States |
Featured jobs |
|
Featured employers |