143 Risk Analysis jobs in the United Kingdom

Market Risk Manager

Barclay Simpson

Posted 18 days ago

Job Viewed

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Job Descriptions

We're Hiring: Market Risk – Fixed Income Credit (FIC) | Associate/VP | London

We're working with a leading global financial institution to find a high-impact Market Risk professional to join their London-based team. This is a unique opportunity to take ownership of market risk oversight across a dynamic and complex Fixed Income Credit trading business , including corporate bonds, CDS, indices, and structured credit instruments .

If you have strong FIC knowledge, solid technical risk expertise, and are looking to step into a role with high visibility across the front office and senior risk leadership — we want to hear from you.


What You’ll Be Doing

As part of the Second Line of Defence , you'll play a central role in monitoring and challenging risk-taking across FIC desks. You’ll:

Oversee daily market risk on trading positions (cash credit, CDS, credit indices, and derivatives)

Analyse and explain VaR/SVaR , risk sensitivities, and stress scenarios

Deliver meaningful P&L explain and help drive effective backtesting

Contribute to new product assessments and risk approvals

Collaborate closely with Front Office, Finance, Regulatory Reporting , and other key stakeholders

Engage in risk governance forums and support regulatory deliverables

Monitor macro and market events impacting credit markets in the UK, US, and EM


Key differential factors for this client


1) Close proximity to Trading. Sitting on the same floor as Traders with a strong relationship fostered with the front office.


2) Leading global Head of Market Risk to mentor and develop you.


3) Fantastic team



What We’re Looking For

We're seeking an experienced and confident risk practitioner who can provide real-time risk insight, engage in challenge, and help refine the firm’s FIC risk management approach.

5+ years' experience in Fixed Income Credit across Market Risk, Product Control, or Trading

Strong understanding of credit products : cash bonds, CDS, indices, structured credit

Hands-on expertise in VaR, stress testing, capital risk metrics (e.g., ECap, FRTB)

Able to build effective relationships and influence at senior stakeholder level

Analytical, detail-oriented, and intellectually curious



Your Background

  • Degree in Finance, Economics, Mathematics, Engineering , or a quantitative discipline
  • Candidates must have demonstrable product knowledge in fixed income instruments.
  • Professional certifications (CFA, FRM) are advantageous
  • Coding in Python or similar is advantageous



Ready to Take the Next Step?

Apply now or message us directly for a confidential discussion.

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

London, London Barclay Simpson

Posted 18 days ago

Job Viewed

Tap Again To Close

Job Descriptions

We're Hiring: Market Risk – Fixed Income Credit (FIC) | Associate/VP | London

We're working with a leading global financial institution to find a high-impact Market Risk professional to join their London-based team. This is a unique opportunity to take ownership of market risk oversight across a dynamic and complex Fixed Income Credit trading business , including corporate bonds, CDS, indices, and structured credit instruments .

If you have strong FIC knowledge, solid technical risk expertise, and are looking to step into a role with high visibility across the front office and senior risk leadership — we want to hear from you.


What You’ll Be Doing

As part of the Second Line of Defence , you'll play a central role in monitoring and challenging risk-taking across FIC desks. You’ll:

Oversee daily market risk on trading positions (cash credit, CDS, credit indices, and derivatives)

Analyse and explain VaR/SVaR , risk sensitivities, and stress scenarios

Deliver meaningful P&L explain and help drive effective backtesting

Contribute to new product assessments and risk approvals

Collaborate closely with Front Office, Finance, Regulatory Reporting , and other key stakeholders

Engage in risk governance forums and support regulatory deliverables

Monitor macro and market events impacting credit markets in the UK, US, and EM


Key differential factors for this client


1) Close proximity to Trading. Sitting on the same floor as Traders with a strong relationship fostered with the front office.


2) Leading global Head of Market Risk to mentor and develop you.


3) Fantastic team



What We’re Looking For

We're seeking an experienced and confident risk practitioner who can provide real-time risk insight, engage in challenge, and help refine the firm’s FIC risk management approach.

5+ years' experience in Fixed Income Credit across Market Risk, Product Control, or Trading

Strong understanding of credit products : cash bonds, CDS, indices, structured credit

Hands-on expertise in VaR, stress testing, capital risk metrics (e.g., ECap, FRTB)

Able to build effective relationships and influence at senior stakeholder level

Analytical, detail-oriented, and intellectually curious



Your Background

  • Degree in Finance, Economics, Mathematics, Engineering , or a quantitative discipline
  • Candidates must have demonstrable product knowledge in fixed income instruments.
  • Professional certifications (CFA, FRM) are advantageous
  • Coding in Python or similar is advantageous



Ready to Take the Next Step?

Apply now or message us directly for a confidential discussion.

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

London, London City Elite Transaction Services Ltd

Posted 12 days ago

Job Viewed

Tap Again To Close

Job Descriptions

Are you a market risk professional ready to take on a senior role providing second-line oversight in a dynamic banking environment?

We're seeking a Senior Market Risk Manager to join our clients London team, with responsibility for Treasury and Financial Market trading activities across our international operations.

What you'll do:

  • Serve as primary contact for all market risk activities
  • Build and maintain control frameworks for treasury and market risk operations
  • Analyse daily market risk reports and provide expert guidance
  • Lead new product assessments from a risk perspective
  • Mentor junior team members and represent market risk at senior forums

What you'll need:

  • Strong understanding of market risk and treasury products
  • Experience in financial services with commercial banking knowledge
  • Proficiency in Excel; VBA and SQL skills advantageous
  • University degree in a numerate subject
  • Excellent analytical, communication and leadership abilities

This role offers deputising opportunities for the Head of Enterprise Risk and direct engagement with senior stakeholders across the business.

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

City Elite Transaction Services Ltd

Posted 12 days ago

Job Viewed

Tap Again To Close

Job Descriptions

Are you a market risk professional ready to take on a senior role providing second-line oversight in a dynamic banking environment?

We're seeking a Senior Market Risk Manager to join our clients London team, with responsibility for Treasury and Financial Market trading activities across our international operations.

What you'll do:

  • Serve as primary contact for all market risk activities
  • Build and maintain control frameworks for treasury and market risk operations
  • Analyse daily market risk reports and provide expert guidance
  • Lead new product assessments from a risk perspective
  • Mentor junior team members and represent market risk at senior forums

What you'll need:

  • Strong understanding of market risk and treasury products
  • Experience in financial services with commercial banking knowledge
  • Proficiency in Excel; VBA and SQL skills advantageous
  • University degree in a numerate subject
  • Excellent analytical, communication and leadership abilities

This role offers deputising opportunities for the Head of Enterprise Risk and direct engagement with senior stakeholders across the business.

This advertiser has chosen not to accept applicants from your region.

Senior Financial Market Risk Analyst

London, London Arthur Recruitment

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

Senior Financial Market Risk Analyst – Insurance Sector

Location: London

Hybrid Working | Permanent Role


An exciting opportunity has arisen to join a forward-thinking, insurance group as a Senior Financial Market Risk Analyst . Based in London, this is a key role within the Group Risk team, offering broad exposure to financial market risk across a dynamic, international insurance environment.


What You'll Be Doing:

  • Overseeing periodic market risk reporting aligned to internal risk frameworks.
  • Providing second-line oversight of liability-based investment benchmarks across multiple entities.
  • Reviewing and validating credit and market risk assumptions used in capital modelling.
  • Supporting risk input into strategic investment planning and ORSA processes.
  • Leading regular and ad-hoc risk assessments, including deep dives and scenario analysis.
  • Monitoring liquidity risk metrics and helping enhance related frameworks.
  • Participating in due diligence for new investment opportunities and external managers.
  • Running risk control self-assessments and engaging stakeholders across the business.


What We're Looking For:

  • Strong background in financial market risk, ideally within insurance or investment sectors.
  • Solid understanding of capital modelling concepts and regulatory frameworks (e.g., Solvency II).
  • Proven ability to collaborate across functions and challenge constructively.
  • Quantitative mindset with experience in risk analysis and reporting.


If this sounds like role that would be interesting to you, apply here or reach out to for more info!

This advertiser has chosen not to accept applicants from your region.

Senior Financial Market Risk Analyst

City Of London Arthur Recruitment

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

Senior Financial Market Risk Analyst – Insurance Sector

Location: London

Hybrid Working | Permanent Role


An exciting opportunity has arisen to join a forward-thinking, insurance group as a Senior Financial Market Risk Analyst . Based in London, this is a key role within the Group Risk team, offering broad exposure to financial market risk across a dynamic, international insurance environment.


What You'll Be Doing:

  • Overseeing periodic market risk reporting aligned to internal risk frameworks.
  • Providing second-line oversight of liability-based investment benchmarks across multiple entities.
  • Reviewing and validating credit and market risk assumptions used in capital modelling.
  • Supporting risk input into strategic investment planning and ORSA processes.
  • Leading regular and ad-hoc risk assessments, including deep dives and scenario analysis.
  • Monitoring liquidity risk metrics and helping enhance related frameworks.
  • Participating in due diligence for new investment opportunities and external managers.
  • Running risk control self-assessments and engaging stakeholders across the business.


What We're Looking For:

  • Strong background in financial market risk, ideally within insurance or investment sectors.
  • Solid understanding of capital modelling concepts and regulatory frameworks (e.g., Solvency II).
  • Proven ability to collaborate across functions and challenge constructively.
  • Quantitative mindset with experience in risk analysis and reporting.


If this sounds like role that would be interesting to you, apply here or reach out to for more info!

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

London, London Barclay Simpson

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

We're Hiring: Market Risk – Fixed Income Credit (FIC) | Associate/VP | London

We're working with a leading global financial institution to find a high-impact Market Risk professional to join their London-based team. This is a unique opportunity to take ownership of market risk oversight across a dynamic and complex Fixed Income Credit trading business , including corporate bonds, CDS, indices, and structured credit instruments .

If you have strong FIC knowledge, solid technical risk expertise, and are looking to step into a role with high visibility across the front office and senior risk leadership — we want to hear from you.


What You’ll Be Doing

As part of the Second Line of Defence , you'll play a central role in monitoring and challenging risk-taking across FIC desks. You’ll:

Oversee daily market risk on trading positions (cash credit, CDS, credit indices, and derivatives)

Analyse and explain VaR/SVaR , risk sensitivities, and stress scenarios

Deliver meaningful P&L explain and help drive effective backtesting

Contribute to new product assessments and risk approvals

Collaborate closely with Front Office, Finance, Regulatory Reporting , and other key stakeholders

Engage in risk governance forums and support regulatory deliverables

Monitor macro and market events impacting credit markets in the UK, US, and EM


Key differential factors for this client


1) Close proximity to Trading. Sitting on the same floor as Traders with a strong relationship fostered with the front office.


2) Leading global Head of Market Risk to mentor and develop you.


3) Fantastic team



What We’re Looking For

We're seeking an experienced and confident risk practitioner who can provide real-time risk insight, engage in challenge, and help refine the firm’s FIC risk management approach.

5+ years' experience in Fixed Income Credit across Market Risk, Product Control, or Trading

Strong understanding of credit products : cash bonds, CDS, indices, structured credit

Hands-on expertise in VaR, stress testing, capital risk metrics (e.g., ECap, FRTB)

Able to build effective relationships and influence at senior stakeholder level

Analytical, detail-oriented, and intellectually curious



Your Background

  • Degree in Finance, Economics, Mathematics, Engineering , or a quantitative discipline
  • Candidates must have demonstrable product knowledge in fixed income instruments.
  • Professional certifications (CFA, FRM) are advantageous
  • Coding in Python or similar is advantageous


  • Ready to Take the Next Step?

    Apply now or message us directly for a confidential discussion.

This advertiser has chosen not to accept applicants from your region.
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Market Risk Manager

City Of London Barclay Simpson

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

We're Hiring: Market Risk – Fixed Income Credit (FIC) | Associate/VP | London

We're working with a leading global financial institution to find a high-impact Market Risk professional to join their London-based team. This is a unique opportunity to take ownership of market risk oversight across a dynamic and complex Fixed Income Credit trading business , including corporate bonds, CDS, indices, and structured credit instruments .

If you have strong FIC knowledge, solid technical risk expertise, and are looking to step into a role with high visibility across the front office and senior risk leadership — we want to hear from you.


What You’ll Be Doing

As part of the Second Line of Defence , you'll play a central role in monitoring and challenging risk-taking across FIC desks. You’ll:

Oversee daily market risk on trading positions (cash credit, CDS, credit indices, and derivatives)

Analyse and explain VaR/SVaR , risk sensitivities, and stress scenarios

Deliver meaningful P&L explain and help drive effective backtesting

Contribute to new product assessments and risk approvals

Collaborate closely with Front Office, Finance, Regulatory Reporting , and other key stakeholders

Engage in risk governance forums and support regulatory deliverables

Monitor macro and market events impacting credit markets in the UK, US, and EM


Key differential factors for this client


1) Close proximity to Trading. Sitting on the same floor as Traders with a strong relationship fostered with the front office.


2) Leading global Head of Market Risk to mentor and develop you.


3) Fantastic team



What We’re Looking For

We're seeking an experienced and confident risk practitioner who can provide real-time risk insight, engage in challenge, and help refine the firm’s FIC risk management approach.

5+ years' experience in Fixed Income Credit across Market Risk, Product Control, or Trading

Strong understanding of credit products : cash bonds, CDS, indices, structured credit

Hands-on expertise in VaR, stress testing, capital risk metrics (e.g., ECap, FRTB)

Able to build effective relationships and influence at senior stakeholder level

Analytical, detail-oriented, and intellectually curious



Your Background

  • Degree in Finance, Economics, Mathematics, Engineering , or a quantitative discipline
  • Candidates must have demonstrable product knowledge in fixed income instruments.
  • Professional certifications (CFA, FRM) are advantageous
  • Coding in Python or similar is advantageous


  • Ready to Take the Next Step?

    Apply now or message us directly for a confidential discussion.

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

City Of London City Elite Transaction Services Ltd

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

Are you a market risk professional ready to take on a senior role providing second-line oversight in a dynamic banking environment?

We're seeking a Senior Market Risk Manager to join our clients London team, with responsibility for Treasury and Financial Market trading activities across our international operations.

What you'll do:

  • Serve as primary contact for all market risk activities
  • Build and maintain control frameworks for treasury and market risk operations
  • Analyse daily market risk reports and provide expert guidance
  • Lead new product assessments from a risk perspective
  • Mentor junior team members and represent market risk at senior forums

What you'll need:

  • Strong understanding of market risk and treasury products
  • Experience in financial services with commercial banking knowledge
  • Proficiency in Excel; VBA and SQL skills advantageous
  • University degree in a numerate subject
  • Excellent analytical, communication and leadership abilities

This role offers deputising opportunities for the Head of Enterprise Risk and direct engagement with senior stakeholders across the business.

This advertiser has chosen not to accept applicants from your region.

Market Risk Manager

London, London City Elite Transaction Services Ltd

Posted today

Job Viewed

Tap Again To Close

Job Descriptions

Job Description

Are you a market risk professional ready to take on a senior role providing second-line oversight in a dynamic banking environment?

We're seeking a Senior Market Risk Manager to join our clients London team, with responsibility for Treasury and Financial Market trading activities across our international operations.

What you'll do:

  • Serve as primary contact for all market risk activities
  • Build and maintain control frameworks for treasury and market risk operations
  • Analyse daily market risk reports and provide expert guidance
  • Lead new product assessments from a risk perspective
  • Mentor junior team members and represent market risk at senior forums

What you'll need:

  • Strong understanding of market risk and treasury products
  • Experience in financial services with commercial banking knowledge
  • Proficiency in Excel; VBA and SQL skills advantageous
  • University degree in a numerate subject
  • Excellent analytical, communication and leadership abilities

This role offers deputising opportunities for the Head of Enterprise Risk and direct engagement with senior stakeholders across the business.

This advertiser has chosen not to accept applicants from your region.

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