CREDIT RISK MANAGEMENT PROGRAMME jobs in ENGLAND, United Kingdom #2

CSR programme + 2 days’ volunteering leave per year Your key responsibilities Development and support of daily risk/P...Job Description: Job Title Quantitative Credit Strategist Location London Corporate Title Vice President Group...

Deutsche Bank

Job Title: Credit Controller Location: Liverpool / 3 days on site Salary: £23,000 - £27,000 BOE + Bonus! Contract... type: Permanent About the role We currently have 2 exciting opportunities for an experienced and a junior Credit Controller...

ARO

and from a range of backgrounds will be considered – in particular corporate/leveraged finance, credit structuring or risk management, debt advisory... CSR programme + 2 days’ volunteering leave per year Your key responsibilities Credit analysis and modelling...

Deutsche Bank

responsible for managing and supporting our credit control team. We are seeking someone with experience in a similar management... understanding of debtor ageing, credit risk, and financial exposure, setting appropriate credit limits Showcase strong problem...

Newcross Healthcare Solutions

Management and Operations, providing valuable insights Collect payment of invoices within 30 days, enforcing credit limits... understanding of debtor ageing, credit risk, and financial exposure, setting appropriate credit limits Showcase strong problem...

Newcross Healthcare Solutions

. We are looking for a forward thinking, tenacious and ambitious individual with a real passion for Finance & Credit Management. The successful candidate...Role: Credit Controller Location: Blackburn, BB1 2FA - Office Based Contract: Full Time / Permanent Salary...

EG Group

and will be communicated to you, however, you will be required to perform the secondary functions (credit management and cash allocation... customer's satisfaction and identify any root causes preventing reoccurrences Credit Review / Audit Management...

Sherwin-Williams

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world's largest sovereign...

GIC

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world’s largest sovereign...

GIC

with our risk insurance policy Ongoing credit and risk assessment to reduce probability of bad debt Controlling customer account... balances against credit limits Weekly, monthly and ad-hoc management reporting Implementing action plans to facilitate...

Nationwide Platforms

your skills in stress testing and experience in treasury, funding risk, risk management which includliquidity to Citis Risk... partnership, leadership and credit and market risk expertise as the team will coordinate across multitude of stakeholders in first...

Citigroup

will build on core understanding of market, counterparty credit, and liquidity risk types and how senior management manages...This role supports the UK Chief Risk Officer (CRO) and team in the regulatory risk management of UK legal entities. The...

Citigroup

, counterparty credit, climate, liquidity and model risk types and how senior management manages and controls those risk types... across the legal entities. What we’ll need from you: Previous experience in model risk management, counterparty credit risk...

Citigroup

of cross-asset financial derivatives, credit risk and capital management Demonstrated experience in Python and C... Counterparty Risk Strats facilitate counterparty risk and financial resources management across the Investment Bank. The team...

Deutsche Bank

Strategy and the Transformation programme. We are looking for a graduate who can support the team in their risk and assurance... report directly to the Audit & Risk Committee. There is regular contact with senior management and the opportunity...

Speedy Hire

Management Level F Technical, Regulatory and Risk Business Partner Equiniti is a leading international provider... application of the risk management framework across EQRS and relevant clients Other general day-to-day duties will include...

Equiniti

type (e.g. Credit, Market, Liquidity, Operational) and embedding the Group's Risk Management Framework for that risk... of investment disciplines. Overview: This role has responsibility for independent risk management oversight for a specific risk...

Deutsche Bank