Risk Management

The practice crosses our entire asset coverage to source experienced senior Risk Management professionals for our financial services clients. Our in depth knowledge of these individuals allows us privileged access to both talent and real market opinion.

The Risk team is knowledge driven and strives to maintain a deep understanding of the key issues regarding the evolution of the product and its effect on our clients and their businesses. The platform is positioned to leverage and maximise Mantis Partner’s Financial Markets track record and product coverage, adding real value to our existing clients.

With over ten years of Risk specific coverage and with an extensive history of successful senior mandate completion across Europe and Asia Pacific, our team prides itself on its long-term client relationship approach.

Disciplines covered

  • Senior Management (Chief Risk Officers, Chief Credit Officers)
  • Market Risk (Cross-Asset)
  • Credit Risk (Counter-party, Vanilla and Structured products)
  • Quantitative Risk (Risk Model Development, Model Validation and Economic Capital)
  • Group, Portfolio and Liquidity Risk

Available positions

Showing 1–5 of 5 Reviewed 31 July 2010
Available positions
 
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Vice President, Market Risk Hong Kong More infoMore info Send this position to a friend/colleagueSend to a friend/colleague ApplyApply
Head of Credit Risk - Financial Institutions London More infoMore info Send this position to a friend/colleagueSend to a friend/colleague ApplyApply
Head of Liquidity & Economic Capital London More infoMore info Send this position to a friend/colleagueSend to a friend/colleague ApplyApply
Head of Commodities Risk, Asia Pacific Hong Kong More infoMore info Send this position to a friend/colleagueSend to a friend/colleague ApplyApply
European Head of Market Risk London More infoMore info Send this position to a friend/colleagueSend to a friend/colleague ApplyApply