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📑 Excited to grow your career? We value our talented employees, and whenever possible strive to help one of our associates grow professionally before recruiting new talent to our open positions. If you think the open position you see is right for you, we encourage you to apply! Our people make all the difference in our success. --------------------- ...

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📑 Job Purpose: Individual will work as part of the Underwriting team under the global Institutional Credit Management (ICM) group. The position covers the Real Money Funds portfolio and will be reporting to the local Head of Funds Underwriting. Job Background/Context: Institutional Credit Management (ICM) is a critical component of Citi's First ...

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📑 Responsibilities : Monitor client portfolios to ensure that risks are controlled - primarily credit risk arising from market sensitive exposure and liquidity risk Perform daily and weekly risk analysis and reporting on existing client portfolios as well as customized risk analysis on new client portfolios Put together presentations and docum ...

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📑 Responsibilities : Monitor client portfolios to ensure that risks are controlled - primarily credit risk arising from market sensitive exposure and liquidity risk Perform daily and weekly risk analysis and reporting on existing client portfolios as well as customized risk analysis on new client portfolios Put t ...

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📑 Job Purpose: Individual will work as part of the Underwriting team under the global Institutional Credit Management (ICM) group. The position covers the Real Money Funds portfolio and will be reporting to the local Head of Funds Underwriting. Job Background/Context: Institutional Credit Management (ICM) is a critical component of Citi’s Fir ...

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📑 Job Purpose: Individual will work as part of the Underwriting team under the global Institutional Credit Management (ICM) group. The position covers the Real Money Funds portfolio and will be reporting to the local Head of Funds Underwriting. Job Background/Context: Institutional Credit Management (ICM) ...

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📑 Job Purpose: Define and implement the strategy and governance framework for Counterparty Credit Risk (CCR) across Citi. CCR Governance includes the 2LOD review and challenge in a variety of CCR related committees (PSE Council, DSFT, Stress Testing; PPL, etc.) with the goal of bringing consistent thought process and actions to the CCR exposures. ...

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📑 Job Purpose: Define and implement the strategy and governance framework for Counterparty Credit Risk (CCR) across Citi. CCR Governance includes the 2LOD review and challenge in a variety of CCR related committees (PSE Council, DSFT, Stress Testing; PPL, etc.) with the goal of bringing consistent thought process and actions to the CCR exposures. ...

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📑 Job Purpose: Define and implement the strategy and governance framework for Counterparty Credit Risk (CCR) across Citi. CCR Governance includes the 2LOD review and challenge in a variety of CCR related committees (PSE Council, DSFT, Stress Testing; PPL, etc.) with the goal of bringing consistent thought process and actions to the CCR exposures. ...

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📑 Financial Institutions and Counterparty Credit (FICC) within Wholesale Credit Risk is responsible for proactively managing Citi's credit exposures in Europe, UK, and Middle East and Africa (MEA) clusters. The portfolio consists of banks, broker/dealers, insurance companies, funds, hedge funds, amongst other counterparty types. Credit-sensitive pr ...

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📑 Job Purpose: Define and implement the strategy and governance framework for Counterparty Credit Risk (CCR) across Citi. CCR Governance includes the 2LOD review and challenge in a variety of CCR related committees (PSE Council, DSFT, Stress Testing; PPL, etc.) with the goal of bringing consistent thought process and actions to t ...

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📑 Job Purpose: Define and implement the strategy and governance framework for Counterparty Credit Risk (CCR) across Citi. CCR Governance includes the 2LOD review and challenge in a variety of CCR related committees (PSE Council, DSFT, Stress Testing; PPL, etc.) with the goal of bringing consistent thought process and actions to t ...

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📑 Financial Institutions and Counterparty Credit (“FICC”) within Wholesale Credit Risk is responsible for proactively managing Citi’s credit exposures in Europe, UK, and Middle East and Africa (MEA) clusters. The portfolio consists of banks, broker/dealers, insurance companies, funds, hedge funds, amongst other counterparty types. Credit-sensitive p ...

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📑 Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization. ICM's Counterparty Credit Risk's objective is to provide integ ...

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📑 Financial Institutions and Counterparty Credit (“FICC”) within Wholesale Credit Risk is responsible for proactively managing Citi’s credit exposures in Europe, UK, and Middle East and Africa (MEA) clusters. The portfolio consists of banks, broker/dealers, insurance companies, funds, hedge funds, amongst other counterparty types. Credit-sensitiv ...

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📑 The company:Leadenhall Search & Selection are recruiting for a fast-growing boutique analytics consultancy with a global presence. The organisation are growing their new market risk team that provides solutions to leading investment and wholesale banks.The role:Our client are looking to bring in a market risk specialist with experience in consultin ...

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📑 The company:Leadenhall Search & Selection are recruiting for a fast-growing boutique analytics consultancy with a global presence. The organisation are growing their new market risk team that provides solutions to leading investment and wholesale banks.The role:Our client are looking to bring in a market risk specialist with experience in consultin ...

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📑 Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization. ICM’s Counterparty Credit Risk’s objective is to provide inte ...

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📑 WHO WE ARE Quanteam Group is a Consulting firm specialised in the Capital Markets industry, in Paris, London, Brussels, New York and North Africa. Since 2007, our 800 consultants provide major clients (Corporate & Investment Banks, Asset Managers, Hedge Funds, Brokers and Insurance Companies) with expertise in several projects such as Financial ...

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📑 W Posted byRecruiter WHO WE ARE Quanteam Group is a Consulting firm specialised in the Capital Markets industry, in Paris, London, Brussels, New York and North Africa. Since 2007, our 800 consultants provide major clients (Corporate & Investment Banks, Asset Managers, Hedge Funds, Brokers and Insurancepanies) with expertise in several project ...

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📑 Excited to grow your career? We value our talented employees, and whenever possible strive to help one of our associates grow professionally before recruiting new talent to our open positions. If you think the open position you see is right for you, we encourage you to apply! Our people make all the difference in our success. ------------------ ...

🔗 View Salary and More Information 🎯 Get Ai Resume Score for this Job

📑 Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization. ICM’s Counterparty Credit Risk’s objective is to provide i ...

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📑 Traded Risk Models Validator London As a Barclays Traded Risk Models Validator, you will be primarily responsible for performing and documenting analysis, testing and validation of market risk models and counterparty credit risk models. As part of the Traded Risk Models Independent Validation Unit (IVU), you will play a critical role support ...

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📑 Responsibilities : Support the Head of Financing and Securitization In-Business Quality Assurance on discussions to define the Quality Assurance function and r eviews across ICG coverage universe . Assist in p rovid ing effective credible challenge during QARs to Business Region Heads and Portfolio Managers, as regards to memo and proces ...

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📑 Quantitative Counterparty Credit Risk - Assistant Vice President*£105k - £110k + Excellent Benefits + Flexible Working*My leading, Investment Banking Client is on the search for a highly skilled Quantitative (Counterparty Credit) Risk Assistant Vice President to join their growing team. This role is a Hybrid-Role based in London.Responsibilities Qu ...

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📑 Quantitative Counterparty Credit Risk - Assistant Vice President*£105k - £110k + Excellent Benefits + Flexible Working*My leading, Investment Banking Client is on the search for a highly skilled Quantitative (Counterparty Credit) Risk Assistant Vice President to join their growing team. This role is a Hybrid-Role based in London.Responsibilities Qu ...

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📑 Role Title: Risk AI Model Developer Location: London About Quantitative Analytics Quantitative Analytics (QA) is a global organisation of highly specialized quantitative modellers and developers. QA is led by Olaf Springer, who is a member of Risk Exco. QA is responsible for developing, testing, implementing and supporting quantitative ...

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📑 This position will support Model Risk Management for FX and FX/ IR Hybrid Pricing Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading and Hedges. This position requires a sound background in stochastic calculus, probability theory & numerical methods and good Python skills wi ...

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📑 Traded Risk Models Validator London As a Barclays Traded Risk Models Validator, you will be primarily responsible for performing and documenting analysis, testing and validation of market risk models and counterparty credit risk models. As part of the Traded Risk Models Independent Validation Unit (IVU), you will ...

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📑 W Posted byRecruiter WHO WE ARE Quanteam Group is a Consulting firm specialised in the Capital Markets industry, in Paris, London, Brussels, New York and North Africa. Since 2007, our 800 consultants provide major clients (Corporate & Investment Banks, Asset Managers, Hedge Funds, Brokers and Insurancepanies) with expe ...

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📑 This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading and Hedges. This position requires a sound background in stochastic calculus, probability theory & numeri ...

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📑 This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading and Hedges. This position requires a sound background in stochastic calculus, probability theory & numeri ...

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📑 Role Title: Risk AI Model Developer Location: London About Quantitative Analytics Quantitative Analytics (QA) is a global organisation of highly specialized quantitative modellers and developers. QA is led by Olaf Springer, who is a member of Risk Exco. QA is responsible for developing, testi ...

🔗 View Salary and More Information 🎯 Get Ai Resume Score for this Job

📑 Excited to grow your career? We value our talented employees, and whenever possible strive to help one of our associates grow professionally before recruiting new talent to our open positions. If you think the open position you see is right for you, we encourage you to apply! Our people make all the difference in our success.<b ...

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📑 Responsibilities : Represent Europe, UK and MEA clusters on Financial Institutions and Counterparty Credit Risk (FICC) applicableernancemittees and forums such as the UK Cluster RMC, MEA and Europe Clusterernancemittees, and the New Product Approvalmittee Provide Senior Risk Approvals at Risk SCO 1 level Manage a team and matrix reports, ...

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📑 This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading and Hedges. This position requires a sound background in stochastic calculus, probability theory & numer ...

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📑 Job Purpose: Individual will work as part of the Underwriting team under the global Institutional Credit Management (ICM) group. The position covers the Real Money Funds portfolio and will be reporting to the local Head of Funds Underwriting. Job Background/Context: Institutional Credit Management (ICM) is a critical component of Citi’s Fir ...

🔗 View Salary and More Information 🎯 Get Ai Resume Score for this Job

📑 Responsibilities : Support the Head of Financing and Securitization In-Business Quality Assurance on discussions to define the Quality Assurance function and r eviews across ICG coverage universe . Assist in p rovid ing effective credible challenge during QARs to Business Region Heads and Portfolio Manag ...

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📑 Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analytics, programming and communication to Citi’s FX Quantitative Development Team. By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsib ...

🔗 View Salary and More Information 🎯 Get Ai Resume Score for this Job

📑 This position will support Model Risk Management for Foreign Exchange (FX ) and FX / Interest Rates (IR) Hybrid Pricing Derivatives models. Primary responsibilities will be to validate and model risk manage Derivative Pricing models for Trading and Hedges. This position requires a sound background in stochastic calculus, probability theory & numeri ...

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📑 Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analytics, programming and communication to Citi's FX Quantitative Development Team. By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibl ...

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📑 Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analytics, programming andmunication to Citi's FX Quantitative Development Team. By Joining Citi, you will be part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly prov ...

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📑 chevron_left Back to vacancies Senior Audit Manager - Prudential Risk Type: Permanent Reference: JB Salary: £90,000 A leading European banking group are looking to hire a Senior Audit Manager into their London office focusing upon Prudential Risk. This is an ideal opportunity for an AVP / Audit Manager looking to make a step up in terms of ...

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📑 Responsibilities : Lead and manage a team of risk professionals to determine and set CCR risk appetite andernance of CCR exposures Create and build a CCRernance framework, policies and procedures, and operating model Demonstrate strong capital markets and technical expertise to ensure that r ...

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📑 This role is ideally suited to someone with Banking and /or Rating Agency experience with Securitsation exposure or Banking Securitization Credit Risk exposure specifically with ABS, CMBS and RMBS. I nstitutional Credit Management 's (ICM) objective is to provide an integrated end-to-end credit underwriting, identification, measurement, manag ...

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📑 **Description** The role is to support the UK Chief Risk Officer (CRO), who is the Chief Risk Officer for Citigroup Global Markets Limited (CGML) and CBNA London Branch, with the financial risk management of the UK Legal Entities and supporting the delivery of strategic legal entity financial risk management and regulatory projects. T ...

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📑 Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analytics, programming and communication to Citi’s FX Quantitative Development Team. By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsib ...

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📑 Job Purpose: Individual will work as part of the Underwriting team under the global Institutional Credit Management (ICM) group. The position covers the Real Money Funds portfolio and will be reporting to the local Head of Funds Underwriting. Job Background/Context: Institutional Credit Management (ICM) ...

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📑 Posted byCo Founder & CEOCurrently Recruiting for Two Quantitative Opportunities: Role one: Start Up : FX Front Office Pricing Library Quant (5+ years exp) Role two: Counterparty Credit Risk / Portfolio Risk Methodology Quant (5+ years) Must have the following experience Role one: Academic excellence: A PhD (or equivalent) in Maths, Physic ...

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📑 Snr XVA-CCR Quant Analyst (VP), London London Ref: CCR-1811 Total to £240k + Benefits + Hybrid working Top-tier Investment Bank XVA, CCR Modelling, Flow Credit Pricing, SIMM, C++, Pythoin This global Investment Bank operates across the world’s most dynamic markets and has a great reputation both as a caring employer and for its sta ...

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