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Keywords: Credit Risk Modelling Manager, Location: London

Page: 2

Manager – IRB Model Development

We are looking for an experienced Quantitative Risk Manager to join a specialist Credit Risk Modelling team...: Background in credit risk modelling within financial services Practical experience with IRB models (Retail and/or Corporate...

Company: Barclay Simpson
Location: London
Posted Date: 14 Jan 2026

Senior Model Validation Manager

is seeking a Senior Model Validation Manager, leading the review and technical validation of the credit models used within the...: The Model Risk & Validation team plays a crucial role in ensuring the integrity of our credit and operational risk models...

Company: Investec
Location: London
Posted Date: 11 Jan 2026

Senior Treasury Manager - 12 Month Fixed Term Contract

to join us on this high-speed journey. Purpose of the Role We're looking for a Senior Treasury Manager to join our finance team... recommendations on funding decisions Managing foreign exchange risk and executing trades when required Preparing month-end cash...

Company: Trainline
Location: London
Posted Date: 11 Jan 2026

Finance Manager - Ancillary and Commercial Proposition

Finance Manager, Ancillary & Commercial Proposition Intro We are easyJet – a FTSE 100 listed, £multi billion low... and business partnering experience Enjoy using insight, modelling and collaboration to shape revenue performance Can...

Posted Date: 11 Jan 2026

Fleet Planning and Procurement Manager

the Senior Manager and Head of Fleet on larger projects Champion continuous improvement, efficiency, risk reduction...Fleet Planning and Procurement Manager Luton (Hybrid – 60% in office) Full time, 40 hours per week Intro...

Posted Date: 08 Jan 2026

Energy Trading Manager

for an Energy Trading and Risk Manager to help shape and lead energy procurement and trading strategy, contribute to strategic... procurement Expertise in market, credit and operational risk management Strategic thinker with a track record of innovation...

Posted Date: 07 Jan 2026

Interim Senior Treasury Manager

Job Description: Interim Senior Treasury Manager - 6 months - London (Hybrid) - up to £500 per day (Umbrella - Inside...? Our client is seeking an interim Senior Treasury Manager to oversee and continuously improve its treasury operations, drive...

Company: Robert Half
Location: London
Posted Date: 14 Dec 2025

Global Middle Office Treasury Manager

As Middle Office Treasury Manager, you'll connect Front and Back Office, oversee covenants, streamline trade finance..., and support liquidity and risk management. Working alongside the Head of Group Treasury, you'll help optimise financial...

Company: Michael Page
Location: London
Posted Date: 27 Nov 2025
Salary: £80000 per year

Senior Pricing Manager - Economy

understanding of monetization strategies, modelling processes, and risk management. Knowledge of scenario modelling and algorithms... you use (For example: she/her, he/him, they/them, etc). Bumble is looking for a talented Senior Pricing Manager - Economy...

Company: Bumble
Location: London
Posted Date: 19 Nov 2025
Salary: £70000 - 90000 per year

Senior Manager, Commercial

We’re looking for a Senior Manager, Commercial to join Liberty Blume in London, United Kingdom... We are looking for a senior, hands-on commercial manager to own growth across priority verticals, build win-win partnerships with lenders...

Company: Liberty Global
Location: London
Posted Date: 06 Nov 2025

FP&A Manager

innovatively, and listen to each other and customers in meaningful ways. Moody's is transforming how the world sees risk.... As a global leader in ratings and integrated risk assessment, we're advancing AI to move from insight to action-enabling...

Company: Moody's
Location: London
Posted Date: 23 Jan 2026

Corporate Finance Manager

investors, and credit providers. Develop investor materials, financial narratives, and presentations for existing..., capital allocation modelling, and scenario analysis across the development pipeline. Provide strategic direction...

Location: London
Posted Date: 17 Jan 2026

Compensation Manager

Year-end Process: Lead the regional execution of the annual compensation cycle, including modelling, calibration, risk... to credit institutions and investment firms. Experience in developing, implementing, and managing risk and compliance...

Company: Elavon
Location: London
Posted Date: 11 Jan 2026

Manager, Financial Due Diligence - Consumer, M&A

, pensions, modelling, fund placement, merger integration, IT and business intelligence. We also often work on international... Reporting of potential key issues for our client including identification of risk or price affecting considerations Review...

Company: Deloitte
Location: London
Posted Date: 05 Dec 2025

Manager, Financial Due Diligence - TMT Tech, M&A

, real estate, treasury, pensions, modelling, fund placement, merger integration, IT and business intelligence. We also often... and covenants Evaluation of potential synergies Reporting of potential key issues for our client including identification of risk...

Company: Deloitte
Location: London
Posted Date: 16 Nov 2025

PIMCO Prime Real Estate UK Asset Manager

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

Company: PIMCO
Location: London
Posted Date: 11 Nov 2025

Equity Quantitative Analyst

/validating financial markets equities/credit pricing/risk models in an international bank Good knowledge of numerical methods... Job Description: Job Summary CIB Markets has expertise combined with deep local market knowledge to deliver a variety of risk management...

Location: London
Posted Date: 02 Feb 2026

Analyst, FI Western Balkans and Eastern Europe

As requested by the operation leader or a Portfolio Manager, undertake assigned tasks relating to the implementation and monitoring... evolving risk factors and monitoring and assessing covenant compliance; As requested by the operation leader or more senior...

Posted Date: 31 Jan 2026

Analyst, FI Western Balkans and Eastern Europe

As requested by the operation leader or a Portfolio Manager, undertake assigned tasks relating to the implementation and monitoring... evolving risk factors and monitoring and assessing covenant compliance; As requested by the operation leader or more senior...

Posted Date: 30 Jan 2026

Principal, Structured Finance Quantitative Specialist

of quantitative modelling, deal structuring, and credit risk analytics. Principal will act as the internal expert for asset modelling... within Banking (Financial Institutions team). This highly technical role focuses on modelling and analysing the credit quality...

Posted Date: 29 Jan 2026