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  • jobs
  • Risk Management

Browse Risk Management Jobs

Apply now for Risk Management Jobs. 2,393 positions are currently open at eFinancialCareers.

Job title

  • Analyst (412)
  • Associate (158)
  • Risk Manager (135)
  • Operational Risk (122)
  • Risk Analyst (112)
  • Consultant (91)
  • Senior Manager (78)
  • Vice President (75)
  • Credit Analyst (52)
  • Senior Associate (47)
  • See all Job Titles

Company

  • DBS Bank Limited (101)
  • HSBC (98)
  • Credit Suisse (91)
  • Macquarie Group (82)
  • Standard Chartered Bank (81)
  • EY. (61)
  • KPMG (47)
  • SOCIETE GENERALE (45)
  • OCBC Bank (43)
  • Citi (41)
  • See all Companies

Sub-sectors

  • Audit (240)
  • Change and Transformation (60)
  • Consulting and Advisory (150)
  • Country (5)
  • Credit (399)
  • Liquidity / asset backed risk (56)
  • Market (179)
  • Operational (505)
  • Project / Programme management (59)
  • Regulatory (140)

Location

  • Japan (5)
  • Tokyo (5)
  1. Catastrophe Risk Developer

    • JPY6800000 - JPY7700000 per annum + bonus
    • Tokyo, Tokyo-to, Japan
    • Permanent, Full time
    • Huxley APAC
    • Updated on:  09 Sep 19
  2. Country Manager, Japan

    • Competitive
    • Tokyo, Tokyo-to, Japan
    • Permanent, Full time
    • State Street
    • Updated on:  09 Sep 19
  3. Finance and Lending Lawyer - Legal / Taxation / Compliance Tokyo - Japan

    • Competitive
    • Tokyo, Tokyo-to, Japan
    • Permanent, Full time
    • SOCIETE GENERALE
    • Updated on:  09 Sep 19
  4. Investment Banking Control Group - Risk Analyst

    • Negotiable
    • Tokyo, Tokyo-to, Japan
    • Permanent, Full time
    • Morgan McKinley - Tokyo
    • Posted on:  14 May 19
  5. Credit Risk / Credit Analyst - Corporate Coverage

    • Negotiable
    • Tokyo, Tokyo-to, Japan
    • Permanent, Full time
    • Morgan McKinley - Tokyo
    • Posted on:  14 May 19
  6. Credit Risk Quant

    • Competitive
    • Munich, Bayern, Germany
    • Permanent, Full time
    • Brock & Decker
    • Posted on:  10 Sep 19
  7. AVP/VP - Risk Management

    • Negotiable
    • Hong Kong
    • Permanent, Full time
    • Hays Banking & Financial Services Hong Kong
    • Posted on:  10 Sep 19
  8. FO Quant - OTC Risk

    • Competitive
    • Frankfurt am Main, Hessen, Germany
    • Permanent, Full time
    • Brock & Decker
    • Posted on:  10 Sep 19
  9. Retail Risk Modelling Manager

    • Negotiable
    • Singapore
    • Permanent, Full time
    • Ambition
    • Posted on:  10 Sep 19
  10. Senior Credit Risk Analyst

    • Competitive
    • Luxembourg
    • Permanent, Full time
    • Albert Cliff Ltd
    • Posted on:  10 Sep 19
  11. Digital Business Strategist

    • 85000 Eur/Year
    • Zurich, Switzerland
    • Permanent, Full time
    • Albert Cliff Ltd
    • Posted on:  10 Sep 19
  12. Business Financial Crime Risk Manager, Programme Management - Retail Banking and Wealth Management

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Posted on:  10 Sep 19
  13. Group Collections Transformation and Systems Manager - Retail Banking and Wealth Management

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Posted on:  10 Sep 19
  14. Traded Risk Analytics Manager - Global Risk

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Posted on:  10 Sep 19
  15. Senior Employee Relations Manager - Human Resources

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Posted on:  10 Sep 19
  16. PayMe Full Stack Engineer - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  17. IFRS 17 Business Finance Lead - Global Finance

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  18. IFRS 17 Senior Technical Finance Manager - Global Finance

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  19. Senior Application Support - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  20. Senior Development Specialist - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  21. Lead Product Solution Architect - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  22. EIR Investigator - Compliance

    • Competitive
    • Singapore
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  23. Product Manager - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
  24. Senior Technical Product Manager - HSBC Operations, Services and Technology

    • Competitive
    • Hong Kong
    • Permanent, Full time
    • HSBC
    • Updated on:  10 Sep 19
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Risk Management: currently 2393 jobs.The latest job was posted on 10 Sep 19.

Risk Management

This section includes all our risk management jobs in investment banks, asset managers, hedge funds and other financial services firms. As the financial crisis clearly demonstrated, financial services can be a very risky industry indeed. Without risk management professionals to curb employees' enthusiasm for pushing boundaries in pursuit of big profits, whole banks can go under.

Professionals working in risk work closely with technology, operations, audit, compliance, and other control functions within a bank. Risk management jobs are generally divided into different areas, the most fundamental of which are market risk, credit risk and operational risk.

Market risk is the risk that a whole portfolio of traded financial products (for example, stocks, bonds or commodities) falls in value simultaneously because of outside events, such as rising oil prices or terrorist bombs. The four standard market risk factors are stock prices, interest rates, foreign exchange rates and commodity prices.

Market risk professionals price and model risk across different asset classes, including derivatives (forwards, futures, options, swaps). They must also communicate clearly with traders, providing the front office with risk assessments.

Credit risk is the risk of loss of principle if a borrower defaults on a loan repayment. A job in credit risk involves helping to mitigate this risk by preparing credit proposals and credit reviews, which provide the business with independent assessments about the financial standing of prospective and existing borrowers.

Credit risk roles involve collaborating with the lending team to ensure that credit proposals or extensions are approved or declined in accordance with both the firm's internal credit policies and local regulations. Most lenders use their own credit scorecards to rank customers according to risk. Factors such as operating experience, management expertise, asset quality, and leverage and liquidity ratios are taken into account.

Operational risk is the risk that a bank will incur damage or losses due to internal factors such as systems breakdown or financial wrongdoing. A job in operational risk includes performing front-to-back reviews of business processes and report to business managers.

Roles in operational risk require conducting risk self assessments of business units, disseminating information about the firm's risk policies, and identifying and reporting any escalation of risk issues. They also liaise with internal audit, external audit and regulators.

Many risk professionals possess qualifications designed to improve their knowledge, job opportunities, professional reputation and pay. For example, the Financial Risk Manager (FRM) designation from the Global Association of Risk Professionals is awarded to those who pass two examinations and have at least two years' work experience in financial risk management.

The Professional Risk Managers' International Association (PRM) goes to financial risk managers who pass four exams covering financial theory, financial instruments and markets, mathematical foundations of risk measurement, and other subjects.

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