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Proxime Limited currently have 12 jobs
Showing 1 to 10...
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03 Sep 2010 11:10
Zurich - CHF
The position is in the Multi-Manager Risk Management Framework and Technology team for a Hedge Fund client. The overall purpose of the role is to collaborate with the risk management teams to design, develop, document and test the investment risk management framework encompassing managed accounts, hedge funds, fund of hedge funds and products.
Responsibilities
Collate new requirements and enhancement requests for risk and return measurement and attribution met... more
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17 Aug 2010 10:01
Zurich - Negotiable
Opportunity to work in a dynamic and innovative team within the "Credit Analytics PB" group which is primarily dealing with credit risk management Responsibility for the development and prototyping of methods and models to analyse credit and market risk on obligor and portfolio level.
Risk modelling of different asset classes and products with respect to market and credit risk using various quantitative methods such as numerical simulations based on di... more
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17 Aug 2010 09:58
Zurich - Negotiable
The successful candidate will work closely with the business and IT to specify requirements and related process changes for the implementation of IT solutions and coordinate UAT testing and business Roll-out. In depth knowledge of risk data processing concepts and business data content is required along with a broad knowledge across capital markets products. In addition a sound knowledge of complex IT architecture in the area of risk data management (staging, vali... more
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03 Aug 2010 17:59
London - Negotiable
Covering the alternative financial market, your finance knowledge and research skills will be utilised to provide support to our sales team and institutional clients. Drawing on your outstanding financial modeling, data manipulating and analysis skills you will play a key role in researching and investigating the market as well as assisting with the development of reports and presentations. A critical measurement of your success in the role will be your ability to... more
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03 Aug 2010 17:58
London - Negotiable
• Working on the valuation, quantitative, analytical and technology development work for the credit derivatives product.
• Communicating with clients in order to confirm trade details, co-ordinate client trials, address queries and price challenges, ensure accuracy of results in addition to providing general support on derivative valuations.
• Ensuring accuracy and consistency of market data and models used for valuation of all asset types within credit derivat... more
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27 Jul 2010 14:19
Zurich - Negotiable
As our non medical underwriter you will be responsible for pricing quotes, performing complex calculations on contracts for group life business and supporting various actuarial matters. You will process new business and renew quotations for international Group Protection (IGP) and provide recommendations through the delegated authority structure. The role requires an understanding of all technical aspects of the group protection products as well as competitor’s po... more
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27 Jul 2010 14:12
Zurich - Market Rate
As a member of our Business Strategy & Development team based in Zurich you manage several of our key strategic initiatives.
In the role of a business strategist in our team you conduct strategic reviews, lead strategy discussions with senior leadership, define key elements of our business and operating model and create ideas for innovation and continuous improvement. As project manager you select appropriate frameworks, lead the analysis and evaluation of option... more
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27 Jul 2010 14:07
Lausanne - Negotiable
•Advising international companies on key treasury and financial risk management activities
•Improving the added value, efficiency, control and regulatory compliance of clients' treasury function
•Providing thought leadership and practical advice on the treasurer's role in working capital management, IFRS, energy and commodity risk, mergers and acquisitions
•Implementing treasury systems, banking and cash management structures and payment factories
Require... more
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27 Jul 2010 14:04
Zurich - Negotiable
Assisting in the development and maintenance of an effective Solvency II compliant market risk management framework, the Market Risk Analyst will be expected to assist in the review and enhancement of the market risk processes to ensure Solvency II compliance.
Reporting directly to the Head of Market Risk, the candidate will ensure that the market / ALM risks are adequately reported and managed, challenging and offering recommendations to improve both the proce... more
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13 Jul 2010 14:56
London - Negotiable
Conduct general quantitative equity research in global equity markets, developing equity investment strategies in the managed futures space, but also in the long-short equity area. The main focus will be on developing technical, but also fundamental signals, predicting equity price movements over various horizons (short to long term investment horizon). A second aspect of the role will deal with signal combination methods as well as equity portfolio construction a... more
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