CREDIT RISK ANALYST SE jobs in ENGLAND, United Kingdom #5

Liquidity and Collateral Risk Analyst Shift Pattern: Standard 40 Hour Week (United Kingdom) Scheduled Weekly Hours... with Market, Quantitative and Credit risk colleagues on cross over activities Develop to become a liquidity risk management...

Hong Kong Exchanges and Clearing

Term Contract Length 07 months Posting End Date Purpose of Job Analyst, Quantitative Risk Analytics (QRA...), is a subject matter expert on a broad range of topics related to risk modelling and quantitative finance: credit and market risk...

European Bank for Reconstruction and Development

This is a great opportunity if you are seeking to develop a broad understanding of IFRS9 credit risk provisions..., Buy to Let and Consumer Lending portfolios. The Provisions team, within Credit Risk Measurement, are a close knit...

Nationwide

and practical. What we are looking for... a Market Risk Analyst who will support the Head of Risk to manage the company's complete... Risk framework and control processes across market, credit and operational risk. Job description This position...

Keyrock

Investment Risk Analyst – London This Is a great job for someone who has had relevant experience in the finance... to the Chief Risk Officer (‘CRO’). The Risk Analyst will be a member of the second line Equity Investment Risk Team...

Aviva

Senior Risk Analyst Eleven are partnered with a global energy trading business for the recruitment of a Senior Market... Risk Analyst onsite in there London office. The business has a strong global network trading crude & oil products...

Eleven

Senior Risk Analyst Eleven are partnered with a global energy trading business for the recruitment of a Senior Market... Risk Analyst onsite in there London office. The business has a strong global network trading crude & oil products...

Eleven

of businesses within Financial Markets. TRM is responsible for Market Risk, Counterparty Credit Risk, Product Control and IPV.... Market risk looks at the movement in market parameters, such as interest rates, credit spreads and FX rates. Counterparty...

ING

and infrastructure. Hands-on experience with SAS and SQL techniques and a good understanding of credit risk. Roles and Responsibilities... development and re-designing of end-to-end credit risk strategy, including modelling components. Further integration activities...

Experis

Risk division and forms a key component of the institutional credit risk management function within American Express. The..., and forecasting. Comfortable determining appropriate credit capacity, structuring of facilities, and risk mitigation techniques...

American Express

and an unwavering commitment to excellence. Teams available: Credit Risk assesses the creditworthiness and financial strength... of clients to determine acceptable levels of credit exposure Finance Risk controls and oversees the firm's liquidity risk...

Goldman Sachs

Department Overview: TRM Risk London is team of circa 70 people supporting a wide area of businesses within Financial... Markets. TRM Risk is responsible for Market Risk, Product Control and IPV. Market risk looks at the movement in market...

ING

Department Overview: TRM Risk London is team of circa 70 people supporting a wide area of businesses within Financial... Markets. TRM Risk is responsible for Market Risk, Product Control and IPV. Market risk looks at the movement in market...

ING

into 5 sector teams. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts... to promote an optimal risk / return on the banks’ lending and trading opportunities. Credit analysis is a 40+ team organised...

MUFG Investor Services

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market... of: leveraged finance, M&A, or secondary advisory at a top-tier investment bank (Analyst level); direct lending at a Private Credit...

GIC

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market... of: leveraged finance, M&A, or secondary advisory at a top-tier investment bank (Analyst level); direct lending at a Private Credit...

GIC

. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts work with Front Office..., counterparty, industry and macroeconomics. Main Purpose of the Role We are looking for a senior credit analyst to cover...

MUFG Investor Services