Risk Manager Jobs in England

26 to 50 of 64 Risk Manager Jobs in England

Credit Risk Manager

London Area, United Kingdom
Harnham
CREDIT RISK MANAGER UP TO £90,000 + STOCK LONDON A top FinTech in the UK that Harnham have been partnered with for some time now are on the search for an Analytics Manager/Senior Manager for the credit risk function. This position is … like this is second to none and invaluable. THE ROLE The role will involve working on one product for the business across the credit risk lifecycle You can expect to be involved in the following day to day: Be an individual contributor and line manager within the team … flexibility here) Oversee analysis, development and improvement for credit strategies Work across commercial and pricing strategies alongside credit risk analytics Wide scoping role involved analytics, strategy development and some model building Be hands on with data SKILLS AND EXPERIENCE Experience working in sub or near prime credit risk more »
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Cloud Cyber Security Risk Manager

Swindon, Wiltshire, United Kingdom
Hybrid / WFH Options
UK Research and Innovation (UKRI)
Cloud Cyber Security Risk Manager £56,745 to £72,509 per annum dependent on skills and experience (this may include allowances) Full time Permanent Polaris House, Swindon or Keyworth, Nottingham (Hybrid working available) Closing Date Sunday 12th January 2025 As a minimum, due to the nature of this … check Do you want to play a key role in safeguarding the future of UK research and innovation? Join UKRI as a Cyber Security Risk Manager and shape secure, resilient, and forward-thinking solutions at the heart of cutting-edge technology. Job Overview The UKRI CIO Group plays more »
Employment Type: Permanent
Salary: GBP 56,745 - 72,509 Annual
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Risk Manager

London Area, United Kingdom
Apollo Solutions
Risk Manager - ESG London Flexible Working + Strong Compensation + International Business A leading bank is on the search for experienced professionals Risk and Environmental Social Governance to spearhead their growing ESG initiative, working closely with Managing Directors . This role is a Hybrid role in the … UK. Main Responsibilities: Plan and execute processes that support Environmental Social Governance. Optimise risk reporting processes. Drive a ESG culture and mindset across the business and for clients. Design and implement technology risk procedures, across cyber, cloud, data, AI etc. Ideal skills: 6–10 years of experience with … a combination of risk and ESG, preferably in an advisory/financial services capacity. Relevant degree with proven experience. Good knowledge of ESG regulations. Ability to build and influence relationships with key stakeholders. Benefits of the Role: Strong package with scope to grow. Opportunity to progress and join a more »
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Risk Manager

London Area, United Kingdom
Attribution Search
Attribution Search are supporting a Quant Hedge Fund who are seeking a skilled Risk Manager to join the business and oversee both market and operational risks. Taking a leading role in identifying, assessing, and managing both market and operational risks within the firm, you will collaborate closely with … portfolio managers, traders, and operations teams to mitigate risk exposures. Responsibilities Perform comprehensive risk assessments of trading strategies, considering all risk factors. Establish and set risk limits, ensuring trading desks adhere to these thresholds to maintain portfolios within acceptable risk parameters. Continuously monitor and analyse … real-time trading activities to detect potential risk exposures, providing timely and actionable insights. Work closely with traders to define risk limits and ensure alignment with risk management policies. Conduct stress tests and scenario analyses to assess the potential impact of adverse market conditions on trading portfolios. more »
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Credit Risk Assistant Manager

England, United Kingdom
Hybrid / WFH Options
KPMG
Credit Risk Assistant Manager – KPMG – Consulting www.kpmg88careers.co.uk/experienced-professional/#LeBlender.OfficeLocations The KPMG Consulting function is a cornerstone of our business. Operating from London we do work that matters, serving the country with diligence and expertise. KPMG is one of the world's largest and most respected … businesses which make the UK what it is. By encompassing a wide range of disciplines across a breadth of areas such as Strategy, Forensic, Risk and Regulatory, People and Talent, and Operational and Financial Transformation, we become immersed in our clients' organisations, applying sector knowledge and technology solutions to … deliver the best possible outcomes and get it right first time. Why Join KPMG as a Credit Risk Assistant Manager? KPMG are currently looking for Credit Risk Assistant managers to take the next step in their career, with the team constantly growing there is no better time more »
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Senior Risk Manager - Payments Risk Business Partner, EU IPP

London, United Kingdom
ENGINEERINGUK
You will need to login before you can apply for a job. DESCRIPTION Amazon Payments seeks a multi-talented Risk Business Partner who helps us understand, manage and anticipate risks in a constantly changing environment. Payments is a rapidly growing, multi-billion dollar global business, which provides our worldwide … customers access to Amazon via accepted payment methods and significantly contributes to Amazon's profitability. The role's scope spans across evaluating country-specific risk, product-specific risks, customer facing risks and understanding regulatory changes. Risk Management provides an independent oversight and maintains an effective control environment. This … individuals who would like to apply and expand their skills as they contribute to this new and exciting space. Key job responsibilities Assessing the risk impact of new business initiatives and change management, influencing risk-based decisions, challenging the proposed control environment, and recommending approval (or not) of more »
Employment Type: Permanent
Salary: GBP Annual
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Alternative Asset Credit Risk Manager - (Hedge Fund, Private Equity & IFO) - Vice President

London, UK
Citigroup, Inc
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 integrated "end-to-end" credit … underwriting, identification, measurement, management, and monitoring for wholesale credit risk across the enterprise. Within ICM, the CCR Underwriting function provides analysis, greenlight, underwriting, first-line-of-defense credit approval and subsequent credit monitoring across all ICG wholesale credit businesses including Banking, Capital Markets, and Advisory (BCMA), Global Structured Products … Financings, and Securitizations (GSP-F&S), Treasury & Trade Services (TTS), Markets, and Securities Services (MSS). The Credit Risk Manager will be part of the global CCR underwriting function, spanning various products including subscription call facilities, Fund Financing, FX, Derivatives, Prime Brokerage, and structured lending. Candidate should have more »
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Market Risk Manager - Commodities - Executive Director / Senior Vice President

London, UK
caia.org - Jobboard
Market Risk Manager - Commodities - Executive Director/Senior Vice President London 3247226 Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board … from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. The role will reside within FRM's Market Risk Department. The Market Risk Management Division (MRD) is responsible for the independent identification, analysis, reporting and escalation of all market risk exposures … is an important part of our culture. What will you be doing? Assessment of market risks, concentrations and top risks. As a desk-facing manager, ability to independently challenge traders, trading management and strategists with appropriate escalation of risks identified to senior risk managers. Real-time involvement in more »
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Credit Risk Manager

Leeds, England, United Kingdom
Hybrid / WFH Options
Harnham
CREDIT RISK MANAGER UP TO £80,000 LEEDS This is an exciting opportunity to join this consultancy and work on advisory projects at banks ranging from large global corporations to small lenders. THE COMPANY This consultancy are experts in their respective field, working across credit risk, actuarial … balance and challenging the status quo. THE ROLE You can expect to be involved in the following day-to-day: Designing and developing credit risk models for both regulatory and business applications, with a strong emphasis on IRB and IFRS9 frameworks. Conducting validation and critical review of models, focusing … on aspects such as design, performance, and implementation. Leading stress testing initiatives, from operational execution to model development and validation. Analysing large credit risk datasets and driving improvements in data quality. Integrating Environmental, Social, and Governance (ESG) factors across data, models (including IRB, IFRS9, and stress testing), and risk more »
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Manager Quantitative Risk Management

London, UK
CME Group
Description Description CME Group is the world's leading and most diverse derivatives exchange. The role will be part of the CME Clearing Quantitative Risk Management department. Our Quants team are working with complex and advanced modelling and we're looking for someone ready for a new challenge to … join the Chicago team. The Manager Quantitative Risk Management is responsible for developing Risk/Pricing Models that evaluate counterparty exposures to the Clearing House. These include models related to Pricing, Value-at-Risk, Stress Testing, Liquidity, Regulatory Capital, & also developing tools for Portfolio Analytics. The … to ensure the adequacy of margin coverage & model assumptions. Principal Accountabilities: Conduct empirical studies and make recommendations on margin levels, modeling issues, and other risk-mitigation measures. Ensure that the model is up to date with the proven theories in the field. Design and develop pricing and risk more »
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Risk Manager

Surrey, United Kingdom
Hybrid / WFH Options
Experis
Job Title: Risk Manager Pay Rate: up to £661.50 per day - Umbrella Only (Inside IR35 Clearance required: SC (Home Office SC preferred) Interview process: Initial interview with Capgemini. Potential for second interview. Location: Hybrid - 1 to 2 days per month on client or Capgemini site Job Description: Risk … Evaluate AWS services and infrastructure, such as EC2, S3, RDS, and VPC configurations, to identify potential risks, including misconfigurations, resource overprovisioning, or security vulnerabilities. Risk Mitigation Planning: Develop and implement strategies to minimize AWS-specific risks, such as enforcing IAM best practices. Risk Monitoring and Reporting: Continuously monitor … Collaboration with Cross-Functional Teams: Partner with DevOps, security, and development teams to enforce AWS-specific governance, ensure proper tagging strategies, and align platform risk management with business goals. Training and Awareness: Conduct AWS-specific risk management training, educating teams on topics such as shared responsibility, secure architecture more »
Employment Type: Contract
Rate: £600 - £700/day
Posted:

Payments Risk Manager - Scheme Compliance - Rules

London Area, United Kingdom
Hybrid / WFH Options
DigiTech Resourcing
Risk Manager - Scheme Compliance - Rules London – 2 days per week in the office/3 WFH Up to £80,000 + 15% bonus Payments Industry My client who are at the forefront of the Payments Industry seek a Rules and Framework Agreements Designer (Risk and Controls management … sets of rules, guides, procedures, legal and regulatory constructs that will together comprise the new payment system. You will be working for the the manager of Business Rules Design, who will provide content knowledge, collaboration and management support to enable the identified documentation to be complete. The risk and controls element is 1st LOD. Experience needed : Must have extensive Financial Services experience. Experience in Rules/Risk/Controls/Operations at managerial level. Must have risk and controls experience in a payment’s context. Experience working in/with a Financial Markets Infrastructure under more »
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Risk Manager - Customer Governance

Beeston, England, United Kingdom
Hybrid / WFH Options
Capital One - UK
Nottingham Trent House (95002), United Kingdom, Nottingham, Nottinghamshire Risk Manager - Customer Governance About this Role This individual contributor will play a key role within our Consumer Duty and Customer Outcome Testing team. As Risk Specialist you’ll undertake a key 1st line role in the UK Risk … Office by overseeing governance within customer focussed forums, ensuring we are focusing on the key areas as a business. What we’re looking for Risk management professional with internal risk management experience A good understanding of customers, customer regulation and Consumer Duty You’ll have proven experience in … accuracy when completing presentations and reports You’ll have solid judgement and have the ability to make recommendations that involve several different types of risk (e.g. Customer Outcomes and Business Operations) You’ll be commercially minded and comfortable developing a good understanding of the business, working out the best more »
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Senior Risk Manager - Cyber

London, UK
Arcus Search
Senior Cyber Risk Manager Great role for a Senior Information Security professional! My client is a leading global Insurer looking to find an experienced Information Security and Risk professional to take up a newly created position, supporting the Underwriting team who are growing their Cyber Insurance offering. … This isn't a typical Risk Management or Cyber Security role; it's effectively an internal consultancy position to add value to the business. You will leverage your considerable Information Security and Risk expertise to build and grow the maturity of the function. Responsibilities Manage risks associated with … of defence for the underwriting teams in relation to Cyber underwriting Skills and Experience You Will Bring Experience within the Cyber, Information Security, or Risk Consulting space (ideally 2 or more of these) Ideally, experience in the Specialty Insurance industry (candidates from wider FS will be considered) A strong more »
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Quant Risk Manager – Fundamental Equity Market Neutral Fund

London Area, United Kingdom
Octavius Finance
We are exclusively partnered with a highly successful Fundamental Equity Market Neutral Fund to identify an experienced Risk Manager/Quant researcher to join their team. This is a unique opportunity to work directly with a world-class PM and senior leadership team in a collaborative and innovative … environment. Key Responsibilities: Manage long/short equity risk using BARRA/Axioma models. Conduct risk analysis across EU, US, and Asia portfolios, utilizing both traditional and custom risk factors, with a focus on global macro events. Perform P&L attribution , event analysis , and provide actionable insights. … closely with the investment team, quantitative researchers, and data engineers to drive portfolio performance. Leverage Python and other programming skills to develop and enhance risk tools and analytics. The ideal candidate will have: Extensive experience in equity market risk management, ideally within a fundamental equity long/short more »
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Monitoring Risk Manager

City of London, London, United Kingdom
Amazon
making the organization the safest and most trusted place to buy and sell. Our primary goal is to protect our customers' interests while balancing risk management with exceptional customer experience. This is achieved through our global first line of defense (1LoD) risk program. We are now seeking an … experienced Monitoring Risk Manager to join our Global 1LoD risk program, with a primary focus on 3P VAT programs. This role involves supporting a VAT Monitoring program across EU and other regions, to ensure that Amazon controls are adequate, operating efficiently and meeting the requirements. Key job … the launch of monitoring mechanisms for existing VAT controls. Deep dive into defects identified on VAT controls and provide support with root cause analysis, risk assessment and identification of remediation plan. Produce and present detailed reports with findings from Monitoring activity and providing updates to senior leadership at varying more »
Employment Type: Permanent
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Credit Risk Manager - SME Lending

England, United Kingdom
Harnham
CREDIT RISK MANAGER - SME LENDING £120,000 LONDON This role offers the chance to work on a range of project areas including lending strategy, pricing modelling and wider portfolio analytics to grow out the SME lending book of a well-known and successful FinTech. THE COMPANY This is … of SQL is essential, Python desirable Experience in developing lending strategies in a consumer lending environment is essential Understanding of and exposure to credit risk models, such as scorecards Experience with SME or wider business lending is essential SALARY AND BENEFITS Base salary of up to £120,000 Discretionary more »
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Credit Risk Manager

Portsmouth, Cosham, Hampshire, United Kingdom
Hybrid / WFH Options
Dynamite Recruitment
Dynamite Recruitment is currently recruiting for a Credit Risk Manager to join a well-established company based in Portsmouth on a permanent basis. This role would be reporting into the Finance Director and be responsible for strengthening credit risk management, build sustainable systems and processes and influence … strategic decisions around the underwriting ands credit risk policies. The Role: Collaborate with stakeholders to review and refine underwriting processes Lead the development of strategies and implement new technologies Oversee ECL model development and ensure proper recalibration of EAD and LGD parameters Leading high-performance teams and provide advise … on collection strategies to improve the teams performance The Ideal Candidate: Previous experience within credit risk management SQL & PowerBI experience – essential Previously worked within financial services or leasing industry Benefits: Competitive salary Hybrid working Generous pension Much more! Please contact Ben Huxley at Dynamite Recruitment on (phone number removed more »
Employment Type: Permanent
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Credit Risk Analytics Manager - SAS

Swindon, Wiltshire, United Kingdom
Hybrid / WFH Options
Lorien
Credit Risk Analytics Manager - SAS - BANKING - PERM Permanent This role can be based out of the Swindon or Bournemouth office with a hybrid working culture in place. £60,000-£65,000 + bonus and benefits A well-known banking firm is looking to hire a Credit Risk Analytics Manager - SAS to join their Credit Risk team. Your job will include leading, coaching and developing a team of SAS analysts who analyse credit risk data, providing stakeholders with valuable insight into the changing credit risks within the Owner Occupied mortgage portfolio. As a minimum … requirement, you'll have experience of: Leading or coaching Analysts in a Credit Risk function Using statistical and analytical tools (ideally SAS) and working with large datasets Innovating to find solutions to problems and/or efficiency improvements Producing insightful analytics and using this to design effective and robust more »
Employment Type: Permanent
Salary: GBP 60,000 - 65,000 Annual
Posted:

Credit Risk Strategy Manager

London, England, United Kingdom
Harnham
CREDIT RISK STRATEGY MANAGER LONDON- 3 TIMES A WEEK UP TO £100,000 Join a leading fintech where you'll be leading the Development of Credit Risk Strategies: THE ROLE Lead the Development of Credit Risk Strategies: Design and implement robust credit risk models and … frameworks to optimize our lending portfolio and minimize defaults. Data-Driven Decision Making: Leverage advanced analytics, AI, and machine learning to assess borrower risk and develop actionable insights that drive business growth. Collaborate with Cross-Functional Teams: Work closely with product, finance, data science, and compliance teams to create … comprehensive credit policies that align with company objectives. Continuous Improvement: Stay ahead of industry trends and emerging technologies to continuously refine our credit risk strategies and introduce new, innovative solutions. REQUIREMENTS Credit risk strategy experience Experience with SQL or python HOW TO APPLY Please apply below or send more »
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Controls Transformation: Operational and Financial Reporting Risk Types – Manager

London Area, United Kingdom
Hybrid / WFH Options
KPMG UK
Controls Transformation: Operational and Financial Reporting Risk Types – Manager Base Location: London The KPMG Enterprise Risk function is a cornerstone of our business. We do work that matters to our local business and communities – supporting technical innovation and adoption of cutting-edge solutions across the UK. KPMG … and regulatory upheaval. We've proudly stood beside the institutions and businesses which make the UK what it is. Why Join KPMG as a Manager in Enterprise Risk? KPMG’s Controls Transformation and Controls Regulation team within Banking, is an area of the firm which continues to show … tremendous growth, as evidenced by recent significant wins. Part of our Enterprise Risk service offering, our proposition helps clients define, implement and optimise control frameworks. The team also supports clients respond to regulations around controls such as US SOX and UK Corporate Governance reform, has extensive process mapping experience more »
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Risk Change Manager

London Area, United Kingdom
Barclay Simpson
Risk Transformation Director to lead a high-impact change programme aimed at consolidating risk and performance technology platforms into the vendor(s) of choice. This front-office leadership role involves managing a diverse team, collaborating with the technology function, and delivering a seamless transformation aligned with strategic business … objectives. Skills & Experience : Proven leadership in change management , ideally within risk or performance transformations. Extensive knowledge of core asset classes , risk analytics, and some exposure to performance metrics. Strong project management skills with a focus on delivery in complex environments. Experience in vendor management and collaborating with technology more »
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Digital Risk & Controls Manager

South West, United Kingdom
Finitas
Digital Risk and Controls Manager Finitas are delighted to be working with a leading Investment company on their search for a newly appointed head count role for a Digital Risk and Controls Manager. Within this specialised Risk team, you will be supporting the transfer of current … system onto the Cloud to modernise the companies approach to risk oversight. Also, you would have exposure to Matrix Manage three people and to assist in mentoring them and their workload. This would suit you if you have had previous experience within a technology risk and controls role … huge opportunity for growth and development. This role is remote, with two days a month in Bristol required Experience in a financial services firm Risk assessment knowledge and application Excellent communication skills Previous managerial/mentoring experience Competitive Salary and annual bonus Flexible working patterns: 2x days consecutively in more »
Employment Type: Permanent
Salary: GBP 65,000 - 70,000 Annual
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IT Production Risk & Governance Manager - Leading FinTech

London Area, United Kingdom
Hunter Bond
A leading global Tech firm is looking for a Manager for it's IT Production Risk & Governance team. You'll be responsible for building and implementing risk management best practice and governance frameworks for it's technology organisation, to ensure IT comply with regulations and industry standards. … The successful candidate will need good experience in mitigating risks and ensuring compliance. The right candidate will have a strong understanding of risk management frameworks, industry standards (ISO, NIST) and regulatory requirements, and you will need to be an expert in incident management. The following skills/experience are … essential: Risk Management background Governance Compliance/Audit Strong Report writing Data driven Bachelor’s degree in a business subject IT/Computer Science or similar Strong stakeholder management/collaborative approach Salary: Up to £150,000 + bonus + package Location: London If you are interested in this more »
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Sustainability Manager, Carbon & Climate Risk

London, United Kingdom
Equinix, Inc
committed to providing an equitable work environment that is foundational to our core values as a company and is vital to our success. Sustainability Manager, Carbon & Climate Risk Summary Equinix is hiring a Sustainability Manager in the Sustainability Program Office to support Equinix in achieving our climate … within the Sustainability Program Office and will partner with internal teams and external stakeholders to deliver on the company-wide decarbonization strategy and climate risk programs to meet our climate targets and commitments. Candidates will have a strong grasp of Greenhouse Gas (GHG) accounting practices and key decarbonization levers … technical sustainability concepts. Grow into a subject-matter expert on environmental sustainability topics (climate resiliency, emissions, energy, water, etc.) and key ESG issues. Climate Risk Data Management and Adaptation: Collaborate with the enterprise risk management team to manage climate risk data across the global portfolio, developing risk more »
Employment Type: Permanent
Salary: GBP Annual
Posted:
Risk Manager
England
10th Percentile
£54,000
25th Percentile
£58,835
Median
£70,000
75th Percentile
£92,500
90th Percentile
£118,750