116 Risk Analyst Description Jobs - page 3
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Credit Analyst Bruin - London, United Kingdom Work with the Investment Team and other teams on the seamless transition of a transaction through the process of credit application, living term sheet, and ultimately into documentation. Leading Development... 7 days ago
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RISK ANALYST - Market Risk Products London, England, United Kingdom In particular, ETB will be responsible for marketing Eni’s oil equity productions, sourcing hydrocarbon and bio feedstock and marketing the resulting productions of its traditional and green refineries... 4 days ago
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Operational Risk Analyst 18 Month FTC Bruin - London, United Kingdom Contribute to refining the collation and reporting of Key Risk Indicators with escalation of areas outside of risk appetite presented through the governance structure; Leading Wealth Manager seeking an... Yesterday
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Commodity Finance Credit Analyst Carr Lyons Search & Selection - London, United Kingdom Credit risk assessment across the commodity finance portfolio Preparation of credit reports/reviews Job Description Yesterday
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Market Risk Analyst Airswift - London, City of London, United Kingdom Are you ready to apply Make sure you understand all the responsibilities and tasks associated with this role before proceeding. Reconciling daily exposures and P&L for physical and financial trading Apply... 3 days ago
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Credit Risk Analyst - Asset Based Lending / Corporate Finance Paritas Recruitment - London, United Kingdom You must have recent credit analysis experience in Asset Based Lending or Corporate Banking, covering UK and European mid-market counterparties. Please share your CV for consideration. 2 days ago
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Investment Risk Analyst Arthur Recruitment - London, United Kingdom 3+ years of experience, preferably within Insurance Support Model development and Validation Qualifications and Skills: Yesterday
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Senior Risk Manager IDEX CONSULTING LTD - London EC1A, City of London, London This position would suit someone from an actuarial and/or risk background, ideally 5+ years risk management experience with an enterprise risk focus. Also someone who enjoys the quantitative parts to risk... 13 days ago
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Quantitative Risk Analyst BGC Group - London, United Kingdom Capitalab focuses on multilateral derivatives compression and optimisation. It has eliminated over $10 trillion of gross notional and generated over $30 billion of Initial Margin savings for its global... Yesterday
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Business Analyst/PM- Banking and Financial Services Capgemini - Glasgow, United Kingdom • The successful candidate must be able to articulate complex topics in a clear and understandable fashion to both technology and business stakeholders • Strong financial services industry experience including... Yesterday
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