Managing the end-to-end regulatory documents process (author and review) - covering ICAAP, ILAAP ... Review and updating of the Bank's Risk policies (such as Credit Risk, Market Risk, Liquidity Risk ...
The successful candidate will join a high-performing team dedicated to advancing the bank's risk management capabilities. Responsibilities: * Develop and enhance credit risk models, including LGD, PD ...
Credit Control Manager - Jellycat London Company Background For a quarter of a century, the ... Monitor credit risk exposure and implement risk mitigation measures. * Collaborate closely with ...
Investments Wholesale and Retail, Payment Services, Financial Crime and Credit and Mortgages. This ... Assisting clients with ICARA preparation including detailed application of risk management and ...
We are inviting applications for Senior Risk Manager for an international bank based in city London ... CRO, Credit department etc. * Over time, will be invited to the Credit Committee or ALCO or ...
This role will provide credit risk management for all financial institutions and sovereigns in EMEA. The responsibilities: - Counterparty/transaction approval in compliance with the risk appetite ...
Candidates would ideally have between at least 4-6 years' experience in corporate loan asset management, portfolio management, credit risk and/or corporate lending. * Collateral Checks prior to PE ...
Mandarin speaking Credit Manager The Skills You'll Need: credit risk analysis, corporate loan approvals, non-bank FI Your New Salary: depending on experience Office based Perm Start: ASAP Credit ...
The Credit Risk Department is in charge of the Credit Approval and Credit Management functions. This role will report to the Deputy Head/Manager in Credit Risk Department who is in charge of the ...
Risk Management: * Identify and evaluate credit risks associated with potential and existing investments. * Implement risk mitigation strategies and monitor credit exposure within the portfolio
Substantial Risk Management experience ... Specialised experience in fixed income & credit is essential * Strong financial and analytical ...
... risk appetite and effective changes of policy & procedures whilst maintaining the focus of the ... management accounts. * Strong numeracy, reporting and Excel skills. * Experience within credit ...
The role will be central to the build-out of a commercially viable, risk managed, and multi-faceted bank balance sheet. The credit analyst will be using internal and external credit related data ...
About the role In your role as Private Market Risk Manager you will make a meaningful and valued ... Financial, Credit, Operational, Legal / Regulatory, Reputational, Climate Change etc.) as well as ...
What the job involves As the Investment Risk Manager, you will be responsible for the analysis and ... Experience gained within Credit / Risk Rating Agency or within an in-house investment environment
Manage and assess credit risk for a portfolio of fund finance transactions, providing recommendations on new and existing credit facilities. * Liaise with internal stakeholders, including risk ...
You'll be someone who is both comfortable working proactively and managing your own tasks, as well ... This role will focus on retail and corporate credit risk provided expert advice in scorecard ...
Evaluate the credit risk and financial stability of clients and partners through comprehensive ... Generate reports on key risk indicators and management information as required. * Visit clients and ...
It provides central counterparty clearing and risk management services for interest rate, equity index, energy and agricultural derivatives, as well as European credit default swaps. The Risk ...
Research and Development tax credits * Provide tax compliance specialist input to group projects ... Be risk champion and coordinator for the Tax function and manage tax risk management framework
You will manage a portfolio of applications, provide mentorship to junior underwriters, and collaborate with the risk, sales, and operations teams to ensure smooth loan origination and credit ...
Product Manager, Road Map, Business Analyst, SQL, RISK, Credit Risk, Market Risk, Regulatory Reporting, Derivatives, Listed Derivatives, OTC, VaR, CVA, BVA, Python, R, Macros If you are an ...
Specific credit risk analytics, modelling or validation experience * Coding expertise in at least one of Python, SAS or R (Matlab, SQL is nice to have) * Experience in project management
- Develop and implement risk management and valuation frameworks and policies for the alternative investment funds * Monitor and analyse portfolio risks, including market exposure, credit risk ...