Are you a business? Hire credit risk candidates in Beckenham
Risk, Finance, Credit, IT and more. The team provides a key function to the business, supporting the management and monitoring of the company's Risk exposures and valuations. The role requires a ...
Risk, Finance, Credit, IT and more. The team provides a key function to the business, supporting management and monitoring of the company's risk exposures and valuations. This requires a broad ...
London (Hybrid working) Do you have experience of risk model validation with strong knowledge of at least Credit, Capital, Liquidity or Interest Rate Risk? Would you like to change your role and work ...
This is in addition to oversight of models used to monitor credit risk (IRB), counterparty credit risk (CVA/IMM), market risk (IMA), operational risk, capital and liquidity stress tests. About Morgan ...
Familiarity with various risk metrics and financial risk modeling is required (credit risk, market risk, and liquidity risk). Primary Responsibilities * Effectively communicate primary drivers of ...
Job Purpose ICE Clear Credit's Risk Management department is looking for a senior risk analyst. The successful candidate will assist the senior risk manager in overseeing and shaping the best risk ...
Energy Trading Credit Risk Business Change Manager * Business: Top 3 global commodity trading house * Location: London based role * Hybrid working: 3 days in the office and 2 days working from home ...
Our divisions include Compliance, Credit, Financial Crime Risk, Internal Audit, Market Risk, Operational Risk, Prudential Risk, and Risk Management Group Central. Benefits Press space or enter keys ...
RISK CONSULTING DIRECTOR - BANKING CREDIT/MARKET RISK & REG REPORTING KNOWLEDGE WITH EXPERIENCE OF DELIVERING & SELLING TRANSFORMATION PROJECTS REQUIRED £170K - £180K + Bens & Bonus Hybrid (London ...
Are you passionate about Credit Insurance? Are you seeking a progressive Risk Underwriter role in a growing and reputable MGA? Nexus Trade Credit are currently recruiting for a dynamic Risk ...
About the Role We are seeking a highly experienced Head of Credit Risk and Portfolio Management to lead, develop, and manage the credit risk framework and portfolio management function. Reporting ...
Credit Risk Analysis * Evaluate creditworthiness of counterparties and borrowers, conducting thorough analysis of financial statements, credit ratings, and economic factors. * Determine appropriate ...
Provide forward-looking insights into market and credit risks, ensuring the business is prepared for emerging challenges. * Advise senior executives and boards on risk management strategies and asset ...
Risk Manager CLO/ Alternative Credit Location: London About DWS: Today, markets face a whole new set of pressures - but also a whole lot of opportunity too. Opportunity to innovate differently
Strong expertise in commercial and credit risk and underwriting practices, especially within emerging markets. * Excellent negotiation skills and the ability to communicate complex risk concepts to ...
This is a senior level Credit Risk role requiring In-depth knowledge and deep understanding of risks and mitigations across different industries, countries and client types as well as Business and ...
Wholesale IRB / IRB Credit Risk Consultants/Managers Multiple Locations: UK, Netherlands, Germany, Austria, Portugal, and Spain Very Competitive Market Rate on offer Paritas is partnered with a ...
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 ...
The core responsibility of this role is to analyse and approve funds / hedge fund counterparty credit risk. Knowledge of Securities Finance and Prime Brokerage preferred.You will be given a good dela ...
Your responsibilities will involve legal support for a variety of structured credit investments (including "significant risk transfer" synthetic securitizations), typically involving financial ...
The applicant will learn and develop analytical skills to minimize the Bank's credit-related losses by Identifying & measuring credit risks/mitigants. Assist communication LC with Credit Risk ...
Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation risk and liquidity risk. * Manage and execute the valuation assessment of ...
Credit & Market Risk configuration (PFE, CVA, VaR), Workflow & Datamart development, Interface development (TDS, LTS, MDIT), Linux bash scripting, SQL. * Domain Knowledge: Market Risk (VaR, DV01, NOP ...
Conduct financial analysis, cash flow modeling, and credit risk assessment. * Support due diligence, including industry research and management meetings. * Assist in structuring and executing lending ...