ALTERNATIVE ASSET CREDIT RISK jobs in LONDON, United Kingdom

Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities... performed across its Institutional Client Group organization. ICM’s Counterparty Credit Risk’s objective is to provide...

Citigroup

, and supporting the sustainable growth, of a world leading asset manager. The Risk Management team is responsible for the... existing governance with a robust and tailored approach for risk identification, monitoring and analysis of the asset class...

Deutsche Bank

markets between credit, private equity and real estate. Ares Alternative Credit targets investments across the capital..., management fees), equipment leasing, lender finance, fund secondaries, and other asset-focused investments. Our Alternative...

Ares Wealth Management Solutions

performance of investments across the Private Credit business, with a primary focus on Corporate & Alternative Debt. Duties... required - with an understanding of credit risk, rating agency methodology, and the ability to analyse / sensitise financial models. Organised...

Legal & General

and sustainable future. Job Description LGIM Private Credit has rapidly grown its activities in Alternative Debt in recent years... risk either in another asset manager, bank or other financial institution, market intermediary or law firm Knowledge...

Legal & General

and financial documentation; A proven track record in real estate debt lending; Ability to assess credit risk in relation... on sustainability and to increase its exposure to the asset class particularly by investing in Europe and developing new loan structures...

Aviva

; Ability to assess credit risk in relation to transactions and use of internal credit rating models; Experience of preparing credit... deployed capital, Aviva Investors has ambitious plans to continue to increase its exposure to the asset class both in the UK...

Aviva

relative value of various structuring options. Review and manage Long Income Asset and Fund credit risk profiles to ensure... Management, Origination, Asset Management and Research teams. You will have ownership of the financial analysis of individual...

Aviva

is hiring a Senior Credit Research Analyst to supplement our existing asset management team in London. This position...Career Returner: Credit Research Analyst - Public Markets Application Closing Date: 26th May 2024 Aviva Investors...

Aviva

markets, including equity, fixed income, multi-asset, and alternative strategies. As a private partnership whose sole business... investment recommendations; Have a keen interest in relating the credit risk of covered credits to those of other sectors...

Wellington Management

and monitoring of investment risk at all levels, i.e., within balanced funds and individual asset classes, providing expert analysis... and Credit Risk to implement enhanced risk & quantitative models, risk systems and automated reporting workflows to be used in...

Aviva

alternative asset classes, including Private Credit, Private Equity, Infrastructure, Real estate etc. What are the... and your responsibilities? Develop and implement risk management and valuation frameworks and policies for the alternative investment funds...

Carne Group

other members of the team in their activities Manage market risk deriving from proposed transactions; Monitor market trends... in the different loan asset classes and maintain proprietary market info databases; Support product desk in the...

Intesa Sanpaolo

’s degree in a relevant field such as Accounting, Finance, Alternative Risk functions and/or Business Administration... will be responsible for audit coverage of the broader enterprise risk elements within State Street’s UK, Ireland and International...

State Street

commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. As one of the top... classes and model types (derivative pricing models, credit and market risk, capital models, AI models, etc. ) and in line...

MUFG Investor Services

stakeholders and internal functional departments (Risk, Finance, Credit) Provide an independent commercial view on structured... valuation, structuring and risk assessment of new complex transactions. The main activity of the Deal Structuring team...

Shell

Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...

Blackstone