Our Client:
We are working with a world renowned Corporate Bank, who are looking to recruit an experienced Credit Analyst / Credit Officer from the London market.
The role is for a Senior Level Corporate Credit Officer and will be based in Qatar.
The Requirements:
- Degree qualified
- A demonstrable track record of Corporate Credit Analysis required
- General Corporates sector coverage required
- Preferred coverage: Project Finance, Real Estate, Trade Finance
- Preferred geography: Emerging Markets
The Benefits
- The opportunity to move to the Middle East and work for one of the regions largest Financial Institutions
- Earn a tax free salary
- A hands on role in an internationally facing team
This role is an ideal opportunity for an experienced individual looking for a change from a European Banking hub (e.g. London, Paris, Frankfurt) to join a fantastic collaborative function based in the Middle East.
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
Our Client:
Have you thought about joining a team where you can make an impact? Looking for a Hybrid working environment with flexible working conditions? Look no further!
Our client, a leading Financial Services organisation are looking to add Credit Risk Modellers to their growing team. You will join the team as they continue to develop their model suite and transition from IFRS 9 to IRB models.
The Requirements:
- Strong academic background
- Previous Financial Services experience
- Strong with SAS
- Experience dealing with IFRS or IRB model suite
- Modelling or Model Validation experience required
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
Our Client:
We are working with a world renowned Investment Bank, looking to add a Credit Analyst / Research professional (focusing on Countries & Sovereigns) to their London based team.
The role will work within a 2nd line Credit Risk team, providing analysis, research and review of EMEA (including EM’s) Countries.
Required:
- Strong academic background
- Experience within a Corporate or Investment Bank
- Demonstrable experience in Country or Sovereign Analysis / Research
- Ideally will have analysed counterparts in EMEA or EM’s
- Good understanding of macroeconomic data, financial stability and trends
- Excellent communication skills: both written and verbal
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
Job Type: Full-time, Permanent
Salary: Starting from £120k per year
Our Client:
At The Risk Partners, we are proud to be supporting one of the world’s most prestigious Commodities Trading firms. Our client is renowned for its cutting-edge strategies, exceptional market insights, and commitment to excellence in the global commodities market.
We are currently seeking skilled Market Risk Analysts/Managers to join our client’s dynamic team in London. As a Market Risk Analyst, you will play a crucial role in ensuring the firm’s risk management strategies are both robust and effective. Your expertise will be instrumental in maintaining the firm’s position as a leader in the competitive commodities trading industry.
Responsibilities:
- Analyse and assess market risks associated with various commodities trading activities.
- Implement and enhance risk models, including Value at Risk (VaR), Expected Shortfall, and Stress Testing, to evaluate market exposure and potential losses.
- Collaborate closely with trading desks and other stakeholders to understand and manage risk profiles effectively.
- Develop risk reports and presentations for senior management, offering valuable insights and recommendations.
- Monitor and stay updated with market trends, regulatory changes, and best practices to ensure compliance and alignment with industry standards.
Requirements:
- Extensive experience in commodities trading is essential for this role.
Demonstrated expertise in using risk management tools, including VaR, Expected Shortfall, and Stress Testing.
- A proactive and self-driven approach to problem-solving, coupled with the ability to work under pressure.
Strong analytical skills with a keen eye for detail.
Excellent communication and interpersonal abilities, enabling effective collaboration with stakeholders
We look forward to reading your CV and discussing with you soon.
Our Client:
The Risk Partners are working with a world renowned, London based Corporate & Investment Bank.
They are looking for a Credit Analyst to join their Financial Institutions (Banks) team within the 2nd line function.
Candidates must have some experience of analysing Banks / Financial Institutions within their career.
The Requirements:
- Strong academic background
- Previous experience in Credit Analysis / Credit Approval from a Corporate or Investment Bank
- Analysis of Financial Institutions / Banks is essential
- Ideally EMEA coverage
- Broad product exposure
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
Salary: £50,000.00 – £55,000.00 per year
The Client:
Our client is a well-established Global Markets firm, specialising in providing execution and clearing services for derivatives trading.
They are seeking a market risk analyst to handle risk reporting, monitor market risk limits, assess new trading strategies, and support various risk-related tasks.
The Requirements:
- Knowledge of risk management tools, frameworks, and regulatory environments
- Experience in macro, VBA, SQL, and VaR
- Experience in commodities markets is preferred
- Previous Market Risk Experience
- Knowledge in various risk types, including market, liquidity, and operational risk would be an advantage
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
The Client:
We are working with a London based Derivatives Broker in their search for IT Internal Auditor.
You will join as a senior member of the team, take part in guiding junior IT Auditors whilst also leading the IT audits across the global business
The Requirements:
- Strong academic background, preferably obtained a CISA qualification
- Must have IT Auditor experience within Financial Services
- Experienced in writing end-to-end IT Auditor reports
- Able to come into the London based office 2 days a week
We look forward to reading your CV and discussing with you soon
The Risk Partners. . . . Trusted Partners in Global Governance Recruitment
Job Type: Full-time
Salary: $215,000.00 – $295,000.00 per year
Our Client:
An established law firm, based in New York is looking for a Mid-Level Associate Attorney with experience in Mergers & Acquisitions to act as the leading associate on US and overseas transactions, including stock/asset purchases, leveraged buyouts and post buy-out transactions.
Requirements:
- 2 Years Post Juris Doctor experience
- Mergers & Acquisitions experience
- 2 years experience drafting agreements
- Experience drafting legal memoranda and other ancillary documentation
- Must be admitted to practice law in the state of New York
We look forward to reading your resume and discussing with you soon.
Enterprise & Model Risk Director – Derivatives
Our client provides central counterparty clearing and risk management services to the derivatives markets. Risk Oversight is the independent, second line of defense risk function that develops and manages the enterprise risk framework for identifying, assessing and reporting risks, and performs independent model validation. The department provides oversight and challenge to ensure the effective management of all business, financial and non-financial risks.
As Enterprise & Model Risk Director you will be a senior member of the Control function and will assist the Chief Risk Officer in the oversight of the risk management practices. You will be responsible for enhancing and executing the operation of the risk framework and for the identification, quantification and escalation of risks. The role has extensive exposure to senior management, and provides a unique platform to leverage a skillset that includes a broad understanding of the risks facing a complex, systemically important financial institution, as well as in depth specific experience of financial derivatives and the risk management and operational processes required to manage them.
Responsibilities
- Maintain and enhance the strong, disciplined risk culture
- Ensure robust risk management policies, procedures and processes are in place
- Ensure the effective execution of the risk management and governance framework
- Act as an adviser to senior management
- Determine the Risk Oversight strategy
- Provide support and senior guidance to teams leading the model validation and operational risk assessments
- Lead the team responsible for day-to-day monitoring of risks
- Risk identification, management, monitoring, reporting
- Risk measurement methodologies, analytics and models
- Regulation and industry benchmarking
Knowledge & Experience
- Strong experience in financial services risk management
- Experience in developing or validating margin models
- Excellent knowledge of financial markets and derivatives products and markets
- Experience with the three lines of defense model
- Confidence and ability to question / provide challenge to senior members of the first line risk and other business functions
- Experience with enterprise risk frameworks
- Experience of leading a team
This role is on-site in the client London office.