...risk, liquidation, depeg risk, credit, and operational risk principles in automated trading environments.Demonstrated ability to bridge quantitative, technical, and operational perspectives.Excellent ...
...management reporting (including meaningful analysis) Improve and harmonize existing processes surrounding data analysis, assumption settings, actuarial models, and control framework Enhance business p...
...risk frameworks. You’ll work across domains such as Fraud, Financial Crime, Compliance, Risk and Onboarding, supporting strategic and operational goals with data‑driven insights. You’ll be expected to...
...Risk, Security & Insurance to lead comprehensive risk management across its operations. The candidate will supervise a team to ensure effective governance and execution of risk processes. This role em...
...analysis and advanced modeling. The ideal candidate will have a Master's or PhD in a quantitative discipline, 4-5+ years of relevant experience, and solid Python programming skills. You will work clos...
...Risk in Amsterdam. This senior position involves defining the risk agenda, managing non-financial risk frameworks, and fostering a risk culture through awareness and training. The ideal candidate will...
...analysis and data mining skills, using the results of their research to make forecasts and develop profitable predictive trading models. What You'll Do: Quantitative Researchers collect and analyze te...
...analysis and data mining skills, using the results of their research to make forecasts and develop profitable predictive trading models. What You'll Do: Quantitative Researchers collect and analyze te...
...Risk Manager for Policy Oversight. This role involves strengthening the risk management framework, ensuring compliance with regulatory standards, and leading initiatives to enhance internal controls. ...
...Risk Management Lead based in Amsterdam. The role focuses on managing risks related to grains, vegetable oils, and sugar, requiring at least 7 years of experience in Commodity Risk Management. Candida...
...risk management within financial markets and a strong understanding of AFM, ESMA, and FCA requirements. The position offers a dynamic environment to enhance risk management across the firm.#J-18808-Lj...
...Risk Manager to design and monitor risk controls. The ideal candidate will have a strong technical background and at least 5 years of relevant experience. A Bachelor's or Master's degree in a technica...
...Quantitative Developer to join its dynamic team in Amsterdam. This role offers an exciting opportunity to work at the forefront of algorithmic trading, collaborating directly with traders and develope...
...risks and- Risk identification, analysis, and allocation under a range of different delivery model options, development of risk mitigation strategiesas demonstrated by the expert’s involvement in at l...
...risk management tasks, and post-trade analysis. Work closely together with other Trading Teams, IT Development, and the Risk department. Continue building towards a more automated and data-driven trad...