Risk Management & Financial Markets

In a demanding and constantly changing regulatory environment, Risk Management has emerged as a key corporate function. It is a sector in which Bluefin Resources has extensive experience, which we use to optimally service clients and candidates alike.

We understand these Risk Management areas:

Basel II
Asset Liabilities
Operational Risk
Global Markets
Capital Calculation
Treasury
Credit Risk
Insurance
Portfolio Management
Compliance
Market Risk
Sarbanes - Oxley
Balance Sheet management
Fraud / Anti Money Laundering
Equities
 

And these roles:

Business Analyst
Statistician
Project Manager
Econometrician
Program Manager
Quantitative Researcher
Senior Manager/Divisional Heads
Actuarial Analyst
Analyst