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Compensation and Market Trends Reports 2016

This is the 26th year that Barclay Simpson has produced market reports summarising and analysing recruitment trends in corporate governance. Our Mid-Year 2016 reports update our annual reports and specifically focus on compensation and the results of our candidate survey undertaken in June 2016. There are five reports covering Internal and Computer Audit, Risk Management, Compliance, Security and Legal. You can access the Reports by clicking on the links below:
 
Internal and Computer Audit 
Risk Management
Compliance
Security
Legal
 
We place great value on the professional reaction to our Reports and would appreciate your comments or any other requests for clarification or information. Please feel free to contact Tim Sandwell 020 7936 2601 or bs@barclaysimpson.com

Latest jobs

Security Infrastructure Analyst / Consultant
  • Location Birmingham
  • Salary £450- £500 per day
  • Job type Contract/Temp
  • Sector Cyber Security, Technology Risk, Information Security , Interim
  • Description Security Infrastructure Analyst, 6 Months, Birmingham, £450 - £500 per day
Security Architect, Cloud
  • Location Birmingham
  • Salary £600- £650 per day
  • Job type Contract/Temp
  • Sector Cyber Security, Technology Risk, Information Security , Interim
  • Description Cloud Security Architect, 6 months contract role, £600 - £650, Birmingham
Manager, Treasury Asset & Wealth Management
  • Location London
  • Salary Competitive
  • Job type Permanent
  • Sector Professional Services
  • Description A market leading Financial Services Treasury team is looking for a Manager or Senior Manager with a strong treasury management background in the Banking, Insurance or Asset Management sectors.
Investment Risk Analyst
  • Location London
  • Salary £65,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description My client is a global asset management group looking to hire an investment risk analyst to join their London team. This is a fantastic opportunity to measure and manage risk across fixed income funds.
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