Job Reference #342221BRCityLondonJob TypeFull Time Key responsibilitiesAre you interested in furthering your career in Market Risk, with a focus on Credit portfolios and the evolving risks across Credit Solutions desks? Do you enjoy discussing transactions and their risk management with traders? review daily trading activity and portfolio risks across Credit portfolios, with a particular focus on the Credit Solutions desks discuss and challenge complex transactions, portfolio changes and risk drivers with Trading, Market Risk colleagues and senior stakeholders create transparency for stakeholders through the preparation and provision of meaningful and timely risk information and relevant advice participate in wider projects and initiatives in Credit as well as the wider FRC (FX, Rates & Credit) Market Risk team. The teamYou will be a member of the EMEA Credit Market Risk team, based in London. Together with colleagues in APAC and the US, the team oversees all Credit-related trading portfolios covering Credit Flow, Debt Capital Management, Structured Credit and Structured Finance and provides an independent and comprehensive view of market risks to Senior Management. In your role, you will work with colleagues across Trading, Risk Control, Finance, Quants, Business Management and Operations to keep the bank safe. a University degree in mathematics, economics, finance, or another quantitative discipline, with proven experience in Market Risk across Credit and/or Rates and a strong risk management track record excellent technical, analytical, and problem-solving skills, with the ability to apply quantitative techniques to practical business challenges highly numerate, with excellent attention to detail and a focus on delivering high-quality outcomes collaborative and comfortable working in a global environment, building effective relationships across teams and functions experience leading, coaching, and motivating diverse teams, supporting individual development and fostering an inclusive culture fluent in English, with excellent verbal and written communication skills, and motivated by intellectual and analytical challenges You do this with sound judgment, validating outputs and aligning with policies, risk standards, and ethical use. We also provide diversified asset management solutions and focused investment banking capabilities. We know that great work is never done alone. We're dedicated to our craft and passionate about putting our people first, with new challenges, a supportive team, opportunities to grow and flexible working options when possible. And we use artificial intelligence (AI) to work smarter and more efficiently. We also recognize that great work is never done alone. We're committed to disability inclusion and if you need reasonable accommodation/adjustments throughout our recruitment process, you can always contact us. Disclaimer / Policy statementsUBS is an Equal Opportunity Employer. United Kingdom: Risk : Group Functions
Risk Associate (Permanent) in London employer: UBS
UBS is an exceptional employer, offering a dynamic work environment in London where collaboration and innovation thrive. As a CCP Risk Manager, you'll benefit from a culture that prioritises employee growth, providing opportunities to tackle complex challenges while utilising cutting-edge AI technologies. With a commitment to inclusivity and flexible working options, UBS ensures that every team member can contribute meaningfully to our collective success.