A top European commodities house is looking to develop a US operation in New York focusing on trading coal in the global market and requires head of m
A top European commodities house is looking to develop a US operation in New York requires future head of market risk · Head of market risk | commodities · New York · Base Salary - $120,000 - $140,000 + bonus & additional benefits View full post on All Trading Jobs: eFinancialCareers.com
Market risk manager, USD 100k-120k + bonus - New York City, United States
Market risk manager required for commodities desk working on both physical and derivative products. My Client-Tier 1 Global investment bank hiring in their New York Office The front office market risk manager will have the following responsibilities: - The successful candidate will be a key point of contact for all market risk issues involving commodity […]
Cross Market Monitoring Trader/Analyst - Federal Reserve Bank of New York - New York, NY
Group: Markets The Markets Group at the Federal Reserve Bank of New York consists of multiple business areas that fulfill a range of responsibilities, from... From Federal Reserve Bank of New York - 26 Jan 2011 20:27:24 GMT - job details - View all New York jobs View full post on Trader Jobs | Indeed.com
Interest Rates Market Making Desk - C++ Developer, USD 175k + Bonus - New York City, United States
My client is a Leading US Investment Bank, globally recognized as being the number one global bank, with a huge reputation for its profitable trading and sales teams, as well as its focus on cutting edge technology. Through continued success and expansion of the global rates business, we have an opportunity for a top business […]
Market risk manager in commodities, SGD 100k- 130k + bonus - Singapore
Market risk manager in commodities required for tier 1 investment bank trading physical and derivative coal and metal products in Singapore The investment bank serves as one of the largest client franchises in the world. Their clients include corporations, institutional investors, hedge funds, governments and affluent individuals in more than 100 countries. The firm is […]
C++ Developer Credit Risk Interest Rate, Competitive Market Rate per day - London, England
The client is a leading Tier 1 Investment Bank with an extensive global reach within the capital and Investment markets. My client has a large trading division where it has a deep commitment to IT and support. Position : Contract - 6 Months Minimum Start Date : Immediate / ASAP Key Skills : C++, Front […]
Market Risk Manager, Circa £70K + benefits - London, UK
Tired of the London life but want to stay at the edge of Risk Management? Then look no further than this role in the Treasury Risk function of this leading Building Society! This dynamic firm, always striving to stay one step ahead of its competitors, seeks to recruit an experienced Market Risk Manager to manage […]
Emerging market prop trader, Highly Competitive - Paris, France
Fantastic opportunity for an experienced EM rates/ fx prop trader to join an already established emerging market platform in a global investment bank. The ideal candidate will already have held a position of this nature in the past, ideally at a buy-side organisation - must be confident trading own book and taking risk. Responsibilities *CEEMEA […]
Senior Market & Operational Risk Oversight Analyst, Competitive Package - London, U.K.
Excellent opportunity in this leading Investment Banks European capital markets function to report directly to the European CRO and apply your operational risk techniques and assessments and expert judgment to provide a view on key business and risk factors within the bank. Market Risk Oversight and Integrated & Operational Risk Global Investment Bank You will […]
Market Risk Stress Testing Economist, To GBP 150K plus bonus & bens - London, U.K
Excellent opportunity at this top investment bank for a Market Risk Manager and Economist to drive the development of Stress Testing Scenarios for all forms of risk (market, credit, liquidity or counterparty) to determine movements of risk factors in market risk models Macroeconomic Stress Testing Leading European Investment Bank Reporting jointly to the Head of […]
