Are you a business? Hire credit risk candidates in Beckenham
Salary: £26,000 per annum Are you a dynamic credit risk professional with a passion for UK property finance? Join our team at Bank of Ceylon UK as a Credit Manager and play a crucial role in shaping ...
Assess sales ledger accounts regularly to minimize credit risk exposure. * Investigate and resolve disputes efficiently to secure payments. * Prepare and allocate daily cash receipts and support ...
Ensure all new business is line with Branch risk strategy. * Ensure that current relationships are fully exploited and creatively managed whilst maintaining acceptable credit risk. * Process credit ...
Financial Analysis, Modelling, Due-Diligence, Credit Risk Analysis and Credit Report Writing. Additionally, it will also partake in client relationship responsibilities and internal stakeholder ...
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 ...
Screening of investment opportunities for managed funds through overseeing qualitative research, financial modelling of projected revenues and credit risk analysis * Lead on the execution of ...
... credit risk principles with property finance lending experience beneficial and be confident working in a fast-paced and dynamic environment; * will be highly analytical and numerical with a strong ...
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 ...
Our solutions help our customers solve difficult problems in the areas of Anti-Money Laundering/Counter Terrorist Financing, Identity Authentication & Verification, Fraud and Credit Risk mitigation ...
This role will involve overseeing market risk, credit risk, liquidity risk related to the trading of the funds mortgage-backed securities (MBS), mortgage-related derivatives, and other fixed-income ...
The ideal candidate will have strong experience in credit origination, deep knowledge of structured finance, and a proven track record in distributing loan risk across a network of investors. Key ...
Job Requirements Seeking technically skilled credit risk consultants/Managers with a global perspective to join the team. Ideal candidates will have: * Experience in management consulting within the ...
You will be responsible for P&L production, market risk and credit risk management. Responsibilities of the Senior Middle Office Analyst: * Leading the production of daily P&L reports and ...
They've recently moved onto the #1 credit risk assessment platform and are only scratching the surface in terms of its capabilities. You'll be responsible for exploring innovative ways the platform ...
... a leveraged / more risk element to their lending. You will have: * In-depth Corporate Credit ... analysis at a major bank, ideally with a portfolio of not more than 50 companies * A good ...
You would work robustly with the Loan Capital Markets side of the business as well as Credit Risk * You will be supporting the MD in terms of the loan underwriting book and risk framework and ...
Consequently, the CQA Manager must be able to demonstrate subject matter expertise in credit risk assessment and analysis, independently identifying and assessing the effectiveness of 1st and 2nd ...
We optimize credit-risk models and processes to solve complex problems for leading banks and financial institutions. Here are some examples of the type of work we do: 1. Developing a new Advanced ...
Strong understanding of project finance principles, including debt and equity structuring, credit risk assessment, and financial covenants. * Desirable strong knowledge of the energy industry ...
Collaborate with internal stakeholders, including product teams and credit risk teams, to develop customized financial solutions for clients. Credit / Structuring * Draft and submit credit ...
In addition, the candidate will have experience in all aspects of the Financial Services industry such as analysis of order books, market and credit risk monitoring, trade processing, and/or market ...
Manage risk effectively to optimize trading performance. * Investigate and implement new trading ... Years of experience in systematic credit trading. * Bachelor's or Master's degree in a quantitative ...
Making decisions on acceptance of credit risk within individual delegated authority or submitting proposals to Credit & Executive Committees. * Being the contact person for existing / potential ...
Actively build strong relationships across the Credit Risk department, which spans multiple geographies, to gather and represent their views * Seeking review and input when necessary or upon the ...