Archive: Risk Officer Jobs In Market
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Risk Control Operations – Change and Support Analyst (79160BR) | 100% |
Union Bank of Switzerland. London
The Risk Control function safeguards the global reputation and preserves the long-term interests of UBS by controlling the risk exposure of the Investment Bank... As part of the Risk Control Operations team, you will ensure that new and existing business is accurately captured and risk is managed so that the...
Date posted: 02/16/2012.
| Sector | Asset Management |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
Head Collateral Evaluation (Lombard Credit) (79576BR) | 89% |
Union Bank of Switzerland. Zürich
Collateral Evaluation, part of Chief Risk Officer WM unit, is the competence centre for lending values... The team supports the Lombard business units of UBS Wealth Management & Swiss Banking worldwide with generic and client-specific lending values for marketable securities used as collateral for Lombard loans. Collateral Evaluation is furthermore.
Date posted: 02/16/2012.
| Sector | Asset Management |
| Employment Type | Full Time |
| Region/Country | Europe, Other, Switzerland |
EMEA Rates Exotics & Hybrids Middle Office - Risk and Analytics Projects - Associate - Based in London-100004000 (100201-KD-01) | 85% |
JP Morgan Chase. London
Job Description The Rates Exotics & Hybrids Business The Rates Exotics & Hybrids business provides sophisticated rates markets risk management and investment solutions to our clients... Products traded include exotic interest rate derivatives (eg snowballs, range accruals), hybrid structures (eg power reverse duals, FX Tarns, multi asset class trades),...
Date posted: 02/01/2010.
| Sector | Consulting |
| Sub Sector | Risk & Performance / Pension |
| Employment Type | Permanent |
| Region/Country | Europe, UK, England |
CVA Transformation Project Manager (80773BR) | 83% |
Union Bank of Switzerland. London
The CVA Transformation Programme was initiated in late 2008, is sponsored by the Chief Risk Officer, Investment Bank Chief Operating Officer and Global head of the Risk Exposure Management desk (now Investment Bank Treasury Trading) and supported by the heads of the Front Office and Control functions across UBS Investment...
Date posted: 02/16/2012.
| Sector | Asset Management |
| Employment Type | Full Time |
| Region/Country | Europe, UK |
IB - Equities Market Risk - Associate/VP - New York-090066046 (091215-KD-09) | 83% |
JP Morgan Chase.
Job Description Group Description: Market Risk (MR) is an independent control group which performs a key role in the bank's control framework... We work in partnership with the business to ensure that risk positions are adequately identified, measured, monitored and controlled... MR functions include: Risk Advisory - Ensure all market...
Date posted: 12/14/2009.
| Sector | Capital Markets |
| Sub Sector | Unspecified |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
Risk-1/FLOW – Market Risk Limit Management Java Developer (110301-KD-13) | 82% |
Morgan Stanley. New York
Position Description FLOW is a Sales & Trading trader signoff, limit, and key business metric monitoring system running under the global Risk-1 umbrella... FLOW allows the front office risk managers to define flexible limit rules to monitor various types of greeks and manage the limit excess escalation workflow... FLOW...
Date posted: 02/28/2011.
| Sector | Asset Management |
| Sub Sector | Reinsurer |
| Salary Text | non-discloesd |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
Risk-1/FLOW – Market Risk Limit Management Java Developer (110223-KD-04) | 82% |
Morgan Stanley. New York
Position Description FLOW is a Sales & Trading trader signoff, limit, and key business metric monitoring system running under the global Risk-1 umbrella... FLOW allows the front office risk managers to define flexible limit rules to monitor various types of greeks and manage the limit excess escalation workflow... FLOW...
Date posted: 02/23/2011.
| Sector | Consulting |
| Sub Sector | Risk & Performance / Pension |
| Salary Text | non-disclosed |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
Risk-1/FLOW – Market Risk Limit Management Java Developer (110201-KD-13) | 82% |
Morgan Stanley. New York
Position Description FLOW is a Sales & Trading trader signoff, limit, and key business metric monitoring system running under the global Risk-1 umbrella... FLOW allows the front office risk managers to define flexible limit rules to monitor various types of greeks and manage the limit excess escalation workflow... FLOW...
Date posted: 01/31/2011.
| Sector | Software Analytics |
| Sub Sector | Risk Solutions |
| Salary Text | non-disclosed |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
Risk-1/FLOW – Market Risk Limit Management Java Developer (110220-KD-25) | 82% |
Morgan Stanley. New York
Position Description FLOW is a Sales & Trading trader signoff, limit, and key business metric monitoring system running under the global Risk-1 umbrella... FLOW allows the front office risk managers to define flexible limit rules to monitor various types of greeks and manage the limit excess escalation workflow... FLOW...
Date posted: 02/20/2011.
| Sector | Software Analytics |
| Sub Sector | Risk Solutions |
| Salary Text | non-disclosed |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
Risk-1/FLOW – Market Risk Limit Management Java Developer (110215-KD-22) | 82% |
Morgan Stanley. New York
Position Description FLOW is a Sales & Trading trader signoff, limit, and key business metric monitoring system running under the global Risk-1 umbrella... FLOW allows the front office risk managers to define flexible limit rules to monitor various types of greeks and manage the limit excess escalation workflow... FLOW...
Date posted: 02/15/2011.
| Sector | Software Analytics |
| Sub Sector | Risk Solutions |
| Salary Text | non-disclosed |
| Employment Type | Permanent |
| Region/Country | Americas, United States |
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