Risk Management Graduate Jobs in London
Joseph Executive Search Ltd - London, United Kingdom
You can get further details about the nature of this opening, and what is expected from applicants, by reading the below. The salary for the role is up to £180,000 plus 20% bonus and MBO equity. - A graduate...
from: uk.lifeworq.com (+1 source) - 4 days ago
London, England, United Kingdom
IG Group is seeking an ambitious undergraduate completing a finance, accounting, or business-related degree to join an 11-month, fully paid industrial placement where you can experience the inner workings...
from: jobleads.co.uk - 19 days ago
London, England, United Kingdom
The successful candidate will ultimately take responsibility for handling and oversight of an expanding portfolio of material sized placements and will be expected to take on various responsibilities,...
from: jobleads.co.uk - 15 days ago
CER Financial - London, United Kingdom
The Successful Credit Analyst Will Have: · Minimum 18m -2yrs experience in credit analysis, ideally in financial institutions and especially with exposure to Hedge Funds on-boarding at financial institutions... £85k - £95k
from: eFinancialCareers.co.uk (+1 source) - 16 days ago
CER Financial - London, United Kingdom
The Responsibilities of a Portfolio Administrator Will Include: · Continuously monitor the development of individual portfolio transactions, perform Market/Sector research and analysis and inform management... 65000
from: eFinancialCareers.co.uk (+1 source) - 23 days ago
London, England, United Kingdom
We would be grateful if you could send your CV as a Word document. If your application is successful, you will be contacted within 7 days. We regret that due to the high volume of applications we receive...
from: jobleads.co.uk - More than 30 days ago
London, England, United Kingdom
Interprets contracts, identifies risks, consults with internal subject matter experts on contract terms (e.g. Legal, Risk Management, Security, Privacy) and drafts language to incorporate feedback into...
from: jobleads.co.uk - More than 30 days ago
Logan Sinclair - London, United Kingdom
Responsibilities: Analyse and evaluate investment risks associated with different fund strategies and asset classes Establish and monitor key risk indicators (KRIs) relating to material risks, including... Competitive + Bonus + Benefits
from: eFinancialCareers.co.uk - 28 days ago
London, England, United Kingdom
Excellent understanding of Lloyd’s, PRA and Solvency II exposure management requirements, Lloyd’s operations and related regulatory reporting Maintaining a materially complete representation of cat in...
from: jobleads.co.uk - More than 30 days ago
Aviva - London, UK
You will support the Group Operational Risk team in bedding in risk methodologies, seeking opportunities and making recommendations over how these can be made more effective and efficient in enabling the...
from: vercida.com - 8 days ago