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Company Description About Crown Agents Bank Crown Agents Bank is a rapidly growing, regulated UK bank connecting emerging and frontier markets to the world through innovative FX and payments technology. Our mission is simple: reduce friction
At M&G, our purpose is to give everyone real confidence to put their money to work. With a heritage dating back more than 175 years, we have a long history of innovation in savings and investments,
Job Description Role Overview: The Operational Resilience Engineer supports Cboe Technology and Operations by owning and evolving the systems, automations, and processes that underpin operational risk control. This role goes beyond managing incidents — it focuses
Locations: London, United Kingdom Req ID: 13704 Job Description Job Purpose With approximately 5 million contracts cleared every day across multiple asset classes, ICE Clear Europe (ICEU) is one of the world’s most diverse and leading
About the OpportunityJob Type: Permanent Application Deadline: 25 September 2026 Title Product Owner - Equity Department Asset Management Platforms Location London Reports To ART Owner – Equity / Value Stream Lead Level 6 We’re proud to
About Airwallex Airwallex is the only unified payments and financial platform for global businesses. Powered by our unique combination of proprietary infrastructure and software, we empower over 250,000 businesses worldwide – including Brex, Navan, Qantas, SHEIN
Who we are looking for State Street Markets is seeking a Market Risk Analyst to support Securities Financing activities, including Prime Brokerage and Securities Lending. The role is responsible for real-time portfolio risk oversight, margin governance,
Linklaters is a global law firm, providing legal services in 20 countries and through 30 offices. Linklaters is a people business. Being best in class in the eyes of our clients means that our people must
Excited to grow your career? BBVA is a global company with more than 160 years of history that operates in more than 25 countries where we serve more than 80 million customers. We are more than
About this role Role Summary Join BlackRocks Securities Lending Operations team and play a critical role in supporting one of the firms global revenue-generating investment services. This role offers the opportunity to develop expertise across securities
About the OpportunityJob Type: Permanent Application Deadline: 09 October 2026 Title Senior Manager - Business Analysis Department AMP Platform, Research & Sustainability Location London, United Kingdom Reports To Associate Director, Business Analyst Level 6 We’re proud
About Patria Patria is a leading alternative investment firm with 36 years of experience, specializing in key resilient sectors. Our distinctive approach combines insights from investment leaders, sector experts, and company managers, all supported by extensive
Market Data Analyst Join ING’s Market Data Analytics Team and help build the market data centre of excellence within Traded Risk Management. You’ll work across sourcing, transformations, models, proxies and analytics tools that support market risk,
Job TitleSenior Manager, Prudential Risk Job Description About IG Group IG is a FTSE 100 fintech operating across five continents, serving over 1.3m customers and handling billions of dollars in transactions – built on scale, trust,
Front Office Credit Risk Analyst, AVP (Onsite) State Street Markets (“SSM”) is looking for an AVP to join the SSM Risk and FRM team in London. The team manages Credit, Market, and Model Risk as the First
About this role The Aladdin Client Engagement (ACE) group manages the partnerships formed with each BlackRock Aladdin client and is the trusted advisor, problem solver and business partner to Aladdin clients. They are the key point
About Columbia Threadneedle Investments Working at Columbia Threadneedle Investments youll find growth and career opportunities across all of our businesses. Were intentionally built to help you succeed. Our reach is expansive with a global team of
CMC Markets requires a suitably skilled Financial Risk Manager with relevant Futures & Options experience, who will be mandated with ensuring aspects of the Group’s financial risks are correctly captured, reported and scrutinised in a timely
Job Requirements Undergraduate degree required; advanced degree and/or professional designation(s) (e.g. CFA, FRM) strongly preferred Ten or more years of portfolio management experience, with strong understanding of emerging market debt, specifically EM Alternatives in its various iterations.