BUSINESS ANALYST PORTFOLIO RISK jobs in LONDON, United Kingdom #8

Looking for a legal, risk or compliance specialist? Share your hiring requirements. Resources Back Resources... Market reports and Salaries Our Events Career Advice Insights and advice for the legal, risk and compliance community...

Taylor Root

Looking for a legal, risk or compliance specialist? Share your hiring requirements. Resources Back Resources... Market reports and Salaries Our Events Career Advice Insights and advice for the legal, risk and compliance community...

Taylor Root

the design and implementation of risk management strategies, ensuring alignment with business goals Conduct role in... portfolio and the risks underwritten are compliant with all the relevant risk, regulatory and legal requirements, whilst...

Emerald Group

: Leading initiatives to improve our credit underwriting, boost growth and/or manage portfolio risk Working with people... from engineering, marketing, product, risk and control to design and deliver initiatives Developing our credit control and portfolio...

Monzo

considerations Strong Project management and Business Analyst background Experience working on middle office technology... classes including but not limited to Loans, Bonds, Structured Credit, Derivatives and FX. Both sides of the business involve...

Ares Wealth Management Solutions

of business/pipeline development, client management and policy dialogue. The Natural Resources team is involved in the... completion and repayment or exit. All the stages involve different tasks such as business marketing, project due diligence...

European Bank for Reconstruction and Development

quantitative risk engine that underpins the LGIM Solutions team funds Work with the Quantitative Analyst and Portfolio Management..., risk and analytic tools for derivatives and derivative strategies for the Solutions tech platform Support new product...

Legal & General

documentation and due diligence processes Support directors in their general sector-oriented business origination activities... Cooperate actively with other business teams (DCM/ICM, GMD, DAR, GIB, Sustainable Banking...) as transactions may require cross...

Crédit Agricole CIB

Energy Market Reporter About the Business At ICIS, our mission is to optimize the world’s resources. We help... developments in renewables, natural gas, LNG, electricity, crude oil or hydrogen. Supported by our editorial and analyst teams...

LexisNexis

Energy Market Reporter About the Business At ICIS, our mission is to optimize the world’s resources. We help... developments in renewables, natural gas, LNG, electricity, crude oil or hydrogen. Supported by our editorial and analyst teams...

RELX

, foreign exchange, equity and credit derivatives. - Good understanding of risk management and portfolio valuation techniques..., from senior management to portfolio managers/traders, risk managers, accountants, middle office and IT staff. - A methodical...

European Bank for Reconstruction and Development

philanthropy. Managing a portfolio of investment proposals and active programmes focused on philanthropic leadership... overviews of CIFF’s climate portfolio and investment opportunities. Prepare briefings and materials for effective funder...

The Children's Investment Fund Foundation

our chosen lines of business, our unparalleled track record and a solid balance sheet, TMHCC evaluates and manages risk like no... will be required. Management of a dedicated SD&T analyst will also be needed to support the number of projects in the portfolio. Skills...

Tokio Marine

, you are building a strategic platform for your client portfolio and driving Merkle’s and dentsu’s value into the client’s business..., the company has put people at the heart of its approach to digital business transformation. As the only integrated...

Merkle

, portfolio managers, performing analyses related to portfolio positioning, attribution and risk, market trends, competitive... of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional...

Wellington Management

manager's strategy, track record, portfolio companies, investment and execution capabilities, as well as culture and alignment... process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...

GIC

manager's strategy, track record, portfolio companies, investment and execution capabilities, as well as culture and alignment... process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...

GIC