308 Quantitative Risk Management Jobs in Slough
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Systematic Trader (Proprietary LLM/AI) – Dubai | Lead & Build | 0% Tax RGG Capital - Slough, United Kingdom Direct CEO and CIO Partnership & Strategic Autonomy: Benefit from direct strategic alignment with the CEO and CIO in a discreet, focused environment. Experience the agility and long-term perspective of... 2 days ago
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Quantitative Analyst JCW - City of London, United Kingdom Develop, implement, and maintain pricing and risk models across a wide range of commodities derivatives. Contribute to the ongoing enhancement and modernization of the quantitative library and risk analytics... 10 days ago
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Actuarial Manager or Senior Consultant – UK P&C Oliver Wyman - Slough, South East England, United Kingdom You will work alongside, and learn from, Oliver Wyman’s industry leaders and other experienced consultants while contributing to a broad range of client projects. You will gain industry exposure with Oliver... 13 days ago
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Actuarial Manager or Senior Consultant – UK P&C Oliver Wyman - Slough, United Kingdom You will work alongside, and learn from, Oliver Wyman’s industry leaders and other experienced consultants while contributing to a broad range of client projects. You will gain industry exposure with Oliver... 16 days ago
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Risk Manager Infraspec - City of London, United Kingdom In this role, you’ll play a critical part in shaping risk strategies, providing vital analysis, and ensuring project teams have the insights they need to make informed decisions throughout the project... 5 days ago
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Credit Analyst Cameron Kennedy - London, United Kingdom The London office encompasses private, commercial, wholesale, and retail banking activities, offering a dynamic and collaborative environment. Assess new and renewal credit applications, preparing detailed... £0 - £85000 per annum 9 days ago
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European Head Risk Analytics LevelUP HCS - City of London, United Kingdom • At least 3-5 years of experience in counterparty credit risk modeling, in particular experience working with credit simulation engines/models in a CRR and/or an XVA context • Develop and implement analytics... 9 days ago
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Portfolio Manager H&P Executive Search - London, United Kingdom 7+ years of experience as a Portfolio Manager, Senior Analyst, or Trader at a leading hedge fund, asset manager, or proprietary trading firm. Conduct in-depth market, sector, and company research to support... 3 days ago
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Chief Investment Officer (CIO) Octavius Finance - London, United Kingdom Key Responsibilities Develop and implement robust risk frameworks and performance attribution systems that are transparent, adaptive, and seamlessly integrated with the core platform. Proven success in... Competitive 16 days ago
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Junior Discretionary Trader - Volatility Anson McCade - City of London, United Kingdom The role focuses on supporting and learning from senior traders while contributing to active risk-taking, portfolio management, and idea generation. Over time, successful candidates will have the opportunity... 3 days ago
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