Financial Institution Model Risk Manager
20 hours ago
We are looking for an experienced Financial Institution Model Risk Manager to join our team at Selby Jennings. The successful candidate will be responsible for managing model risk within a financial institution, ensuring that models are developed and implemented in accordance with regulatory requirements and industry best practice.
The key responsibilities of this role include:
- - Initial and periodic validation of quant models
- Designing, modelling and prototyping challenger models
- Quantitative analysis and review of model frameworks, assumptions, data, and results
- Testing models numerical implementations and reviewing documentations
- Checking the adherence to governance requirements
- Documentation of findings in validation reports, including raising recommendations for model improvements
- Ensuring models are validated in line with regulatory requirements and industry best practice
- Tracking remediation of validation recommendations
Salary Range: $140,000 - $220,000 per annum, depending on experience and qualifications.
-
Financial Institution Risk Modeller
1 week ago
London, Greater London, United Kingdom Axiom Software Solutions Limited Full timeAxiom Software Solutions Limited seeks a highly skilled Financial Institution Risk Modeller to join our team in London, UK. As an Interest Rate Risk Management SME, you will play a key role in delivering technical projects with complex data analysis design documents.Your experience working with interest rate risk management process models and related...
-
London, Greater London, United Kingdom Selby Jennings Full timeLead Quantitative Model DeveloperSelby Jennings is looking for a highly accomplished Lead Quantitative Model Developer to drive the development of pricing models and hedging analytics for financial institutions. This senior role involves collaboration with traders and other quants to enhance front office analytics.Key Accountabilities:Overseeing the...
-
Financial Institution Model Validator
6 days ago
London, Greater London, United Kingdom Barclay Simpson Full time**About the Role:**We are looking for a skilled Financial Institution Model Validator to join our team at Barclay Simpson. The successful candidate will have experience taking ownership of major market risk related modelling projects and will be responsible for independently performing and documenting analysis and testing of FRTB models.About the Company:Our...
-
Financial Model Risk Expert
4 weeks ago
London, Greater London, United Kingdom Capco Full timeJob SummaryWe are seeking a skilled Financial Model Risk Expert to join our team at Capco. As a key member of our model risk team, you will be responsible for ensuring the accuracy and integrity of our financial models.About UsCapco is a global consulting firm that specializes in financial services technology and business process consulting. Our clients...
-
Senior Model Risk Manager
6 days ago
London, Greater London, United Kingdom Michael Page (UK) Full timeSenior Model Risk Manager RoleBased in the UK, this Senior Model Risk Manager position offers a challenging opportunity to lead and drive client workshops, presenting at industry seminars on Model Risk Management.Key Responsibilities:Work with senior stakeholders across various functions, including Business, Model Development, Model Validation, Product...
-
Financial Institutions Risk Manager EMEA
5 days ago
London, Greater London, United Kingdom Citi Full timeAbout the RoleCiti seeks a highly skilled Financial Institutions Risk Manager EMEA to join its team in London. The successful candidate will be responsible for managing the bank's exposure to financial institutions in the Europe, UK, and MEA clusters, with a focus on credit-sensitive products such as loans, derivatives, and other capital markets...
-
Risk Governance Manager
4 days ago
London, Greater London, United Kingdom Hamlyn Williams Full time**Job Title:** Risk Governance Manager - Financial Institutions**About the Role:Hamlyn Williams, a leading consultancy firm based in London, is seeking an experienced and skilled Risk Governance Manager - Financial Institutions to join their team. The successful candidate will have in-depth knowledge of risk management and governance practices within the...
-
Financial Institution Risk Manager
1 week ago
London, Greater London, United Kingdom Black Swan Group Full timeJob DescriptionBlack Swan Group is seeking a highly skilled Financial Institution Risk Manager to join our team. In this role, you will be responsible for managing and mitigating risks associated with electronic trading within our organization.The ideal candidate will have a strong understanding of trading systems, market structures, and algorithmic trading...
-
London, Greater London, United Kingdom Barclays Full timeJob Title: Counterparty Risk ManagerBarclays is a leading Investment Bank that offers a dynamic and challenging work environment. We are seeking a skilled Counterparty Risk Manager to join our team in London. As a Counterparty Risk Manager, you will play a critical role in measuring, controlling, and managing the Counterparty Credit Risks of our trading...
-
Quantitative Risk Manager
5 days ago
London, Greater London, United Kingdom BWD Search & Selection Full timeRole OverviewWe are seeking a seasoned Senior Risk Modelling Analyst to join our team at BWD Search & Selection. The successful candidate will have a strong background in risk model validation and knowledge of credit, capital, liquidity, and interest rate risk.Key Responsibilities:Critical review and challenge of the bank's use of models, quantitative tools,...
-
Risk Modelling Specialist
1 month ago
London, Greater London, United Kingdom Datatech Analytics Full timeAt Datatech Analytics, we're looking for a Risk Modelling Specialist to join our team in London.As a Risk Modelling Specialist, you will have the opportunity to work on challenging projects with leading financial institutions around the globe, where you'll be at the forefront of innovation in products and methodologies.We offer a competitive salary of...
-
London, Greater London, United Kingdom McCabe & Barton Full time £600 - £775Job Description: As a Risk Management Consultant for Financial Institutions, you will lead the development of IT risk reporting frameworks and KRIs, and support IT change initiatives with risk assessments and controls. You will be responsible for producing IT risk reports for management and governance committees, and partnering with cross-functional teams to...
-
Senior Credit Risk Manager
3 weeks ago
London, Greater London, United Kingdom Eximius Finance Full timeJob Title: Senior Credit Risk Manager - Financial InstitutionsWe are seeking a seasoned Senior Credit Risk Manager to join our team at Eximius Finance. This role will provide credit risk management expertise for all financial institutions and sovereigns in EMEA.Main Responsibilities:Counterparty/transaction approval in compliance with the risk appetite...
-
Model Risk Lead
5 days ago
London, Greater London, United Kingdom Michael Page (UK) Full timeAbout the CompanyMichael Page (UK) is a global consultancy firm that specialises in Risk and Regulation services. We are seeking a Senior Manager- Model Risk Management professional to join our team.Job OverviewThe Senior Manager- Model Risk Management role involves building out Regulatory Risk offerings for clients on Model Risk regulation. The successful...
-
Model Risk Specialist
5 days ago
London, Greater London, United Kingdom Alexander Ash Consulting Full timeJob Title: Model Risk SpecialistLocation: London, UKSalary: £100,000 per annumAbout Alexander Ash Consulting:Our team of experienced professionals provides expert risk management solutions to global financial institutions. We work closely with clients to identify and mitigate potential risks, ensuring the long-term success of their businesses.We are seeking...
-
Financial Risk Modeller
4 weeks ago
London, Greater London, United Kingdom Robert Walters Full timeRobert WaltersOverviewRewarding career opportunities await a seasoned Financial Risk Modeller with expertise in complex financial products, regulatory deliverables and model development.We are seeking an experienced professional to take on this exciting challenge at Robert Walters.Salary Range: $90,000 - $120,000 per annum (dependent on location)About the...
-
London, Greater London, United Kingdom British Business Bank Full time**Overview:**British Business Bank is a leading institution seeking a skilled Senior Financial Risk Director to join our team. In this role, you will develop and implement the Financial Risk Management Framework, overseeing a GBP 10bn investment portfolio and providing strategic guidance to senior leadership.Your responsibilities will include leading a...
-
Risk Modelling Specialist
5 days ago
London, Greater London, United Kingdom Bruin Financial & Professional Services Full time**Job Overview:**Bruin Financial & Professional Services is currently seeking a highly skilled Catastrophe Analyst to join their London office.The successful candidate will be responsible for performing risk analysis to support winning, placing and monitoring complex insurance and reinsurance risks in the Lloyd's, London and International markets.This role...
-
Financial Modeling Expert
1 week ago
London, Greater London, United Kingdom Oceanredpartners Full timeRisk Management and Financial Modeling ProfessionalOceanredpartners seeks a highly skilled Risk Management and Financial Modeling Professional to join its team of experts. In this role, you will develop and implement financial models for pricing and market risk calculations, working closely with cross-functional teams to deliver innovative solutions.About...
-
Financial Risk Modeller
5 days ago
London, Greater London, United Kingdom ENGINEERINGUK Full timeJob SummaryThe Financial Risk Modeller will be responsible for developing and maintaining risk models to support the investment risk team. This includes producing insightful analysis on specific equity and multi-asset portfolios, supporting risk meetings with fund managers, and preparing presentations for internal committees to flag performance, risk,...