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...FX Head of Dealing and Risk Manager – English Speaker
Remote – Worldwide
*** This Job Opportunity is only offered for candidates living and eligible to work in the city living in.
Salary: Kindly Share with us your salary expectations.
Job De scription...
...successful in achieving the highest profitability and lowest cost of risk since 2015. It has also seen significant growth in its acquiring... ...Overseeing the development, enhancement, and management of FX products and services
Responsible for market analysis, developing...
...constant innovation to remain competitive. Within the GM group, the FX&Rates desk is a multi-currency, multi-product desk which aims to... ...Accountabilities:
# Manage multi-product and cross-asset class risk.
# Deliver macro views, seek arbitrage and relative value...
...mitigate model
limitations / assumptions, used for pricing
Enhance existing Market Risk Models used for VaR, ES and risk monitoring in
the following asset classes: IR, FX, Equity, Commodity and Credit.
Disclaimer: Drjobs.ae is only a platform that connects...
CAREER INNOVATORS Is Hiring for Domestic cum International Airline for a Cabin Crew Positions for Both Males and Females ( Only Freshers) Age 18-26 Years Should apply
Interviews at the End of February 2023 directly with the Airline HR
Disclaimer: Drjobs.ae is...
...Have an overall understanding on the business, operations and other control functions and understand the presence of risks in every function
To work with control functions and advise the Firm on all the risks
To review and update the Risk Matrix
To formulate,...
...About Our Client
This is an exciting opportunity to join the risk team of a leading global investor, based in Abu Dhabi. The team focuses on providing portfolio level risk updates and working closely with the Investment teams across public markets. What the job involves...
...Contract : 6 months extendable to long term.
Job Requirements
~ Good working experience in Counterparty Credit Risk Change (SACCR, PFE (Monte Carlo & CEM), Credit Policy (issuer concentration risk, credit trading, secondary risk & WWR)
~6-8years Murex (MRA/MRB)...
...Identify the Firm’s enterprise-wide risks and implement appropriate policies, procedures, systems, and controls to handle and mitigate the risks.Provide oversight and challenge of the firm's systems and controls in respect of risk management.Design and implement an overall...
...Job Description:
The Risk Manager will be responsible for identifying, assessing, and mitigating potential risks that could negatively impact the
organization. This includes developing and implementing risk management strategies, policies, and procedures to ensure...
...Set-up Risk management procedure and execute within the Project - in-house and across Contractors.
Execute Qualitative and Quantitative Risk Analysis on Schedule and Cost.
Prepare Risk report, Monthly Reports, KPI's etc.
Lead Workshops and monitor status....
...Minimum of 10 years of experience in project risk management, methodologies, and control frameworks, with a focus on cost and schedule risk analysis.
Proficient in risk management software and tools, such as @RISK, Primavera Risk Analysis, Deltek Acumen Fuse, ProRisk...
*Cascade staffs all around the Midwest and pay varies per market. Often we are the highest paying healthcare staffing agency!
Are you ready to experience the difference and join the best of the best? Were seeking a few more rock stars to join our team! We have a number...
...Risk Analysis and Mitigation: Conduct in-depth analysis of our credit and operational risk exposure. Develop and implement strategies to mitigate identified risks.
Model Development: Create and refine predictive models for assessing credit risk, fraud, and defaults...
~ Risk analysts examine a firm's investment portfolios, including overseas investments , and analyze the risk involved in associated decisions. They use their analytical skills to project potential losses, and make recommendations to limit risk through diversification...
...of all relevant business models and activities ensuring that the appropriate data is collected, organised and analysed to ensure a risk-based approach.
# Leading the ongoing development and implementation of supervisory frameworks for innovative, technology-enabled...
...Evaluate the performance of the investment portfolio using various performance measurement techniques.
Develop and implement robust risk management frameworks and policies for the portfolio, considering market, credit, liquidity, and operational risk.
Monitor and...
*** This role requires excellent Do not apply if you do not meet this requirement ***
We () are an innovative and thriving B2B Software-as-a-Service (SaaS) company that provides Engagement acceleration solutions to organizations
We have always been a remote...
...Developing, validating, and implementing models for value-at-risk (VAR), stress testing, and asset-liability management (ALM) using advanced statistical and mathematical techniques.Performing data analysis, back testing, and scenario analysis to assess the performance...
...degree in mechanical engineering (or) equivalent
Minimum 0f 15 Years Experience in Oil and Gas Fields in the following areas:
Risk Based Inspection “RBI” preferably with working knowledge in reputed RBI software.
Fitness For Service “FFS” and Remnant Life Assessment...