CREDIT RISK MANAGER PORTFOLIO jobs in United Kingdom #2

of relevant experience in Credit Portfolio Management, Risk Management, or related fields. City of London based European...AVP - Loan Portfolio Manager Assessing new lending transactions, identifying distribution strategies to enhance...

Michael Page

Portfolio Manager - London Who we are: Pharo Management is a leading global macro hedge fund manager with a focus... to our continued success. Job description: We are looking for a talented and experienced Emerging Markets Portfolio Manager to work...

Pharo Management

better outcomes for our clients around the world! What are the ongoing responsibilities of a Fixed Income Portfolio Manager... ideas in rates, credit and foreign exchange Conduct detailed daily reviews of portfolio exposures to ensure consistency...

Franklin Templeton Investments

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

PIMCO

required - with an understanding of credit risk, rating agency methodology, and the ability to analyse / sensitise financial models. Organised... and sustainable future. Job Description We have a brand new role as a an Asset Manager to support the ongoing management...

Legal & General

Banking Job-Mandarin speaking Credit Manager - Corporate Banking-London-M £Depending on experience Permanent Central...: Your New Job Title: Mandarin speaking Credit Manager - Corporate Banking The Skills You'll Need: Mandarin and English fluent...

People First

Job Title: Credit Manager, London The Skills You'll Need: credit risk analysis, corporate loan approvals Your New Salary...Banking Job-Credit Manager-London-wm £Depending on experience Permanent Central London Ref: 22510 Your New...

People First

based in the UK, and the responsibility for assessing and monitoring the credit risk of the Marine portfolio covering Europe... the Marine portfolio. Responsible for the overall assessment of credit risk in the Marine portfolio covering the EMEA...

World Fuel Services

with the rest of the week assisting the Collections & Recoveries Manager and Portfolio Monitoring Managers with counter-party.... THE ROLE Our Asset & Portfolio Monitoring teams sit at the beating heart of the business, overseeing all aspects of the...

DF Capital

Investment Manager's investment team (covering performance, investment outlook, portfolio positioning, valuation, underwriting...; Experience working with Private Credit / Private Debt; Knowledge across multiple private asset classes is a plus: Private Equity...

Carne Group

FI & D&O Line Manager Divisional Director Company Howden Insurance Broking Role Definition Permanent – Full Time..., sustainability, volunteering - you’ll find like-minded people driving change at Howden Group. Howden Portfolio Plus – Programme Co...

Howden Group Holdings

with us to discuss in more detail. Purpose The Head of Portfolio Management (Private Assets) is responsible for implementing... with our Internal Management handbook, other policies, frameworks and risk appetite, including: Leading marketing of our investment...

Just

with essential anti-money laundering risk advice across high risk industries Job Summary: As an Industry Risk Manager... regarding Anti-money laundering (AML) risks presented by specific High-Risk Industries (Third Party Payment Processors (TPPPs...

JPMorgan Chase

and leverage data to deliver member centric payments solutions. As a Senior Product Risk Manager you'll: Develop Acquiring Fraud..., Fincrime & Credit Risk appetite, risk monitoring strategies, policies and procedures, deliver them and measure...

Tide Platform

as a Senior Investment Risk Manager to join our Investment Management Oversight team to provide a professional service applying... and Investigation of breaches Produce risk reporting and analytics and Run enterprise and portfolio stress testing Review and maintain...

Phoenix Group

Join us as a Capital Risk Solutions Manager This is an opportunity for a driven Capital Risk Solutions Manager... and working in conjunction with internal and external partners – Coverage & Portfolio Management, Credit, Legal, Finance, Treasury...

NatWest Group

on our clients, communities, and employees. Focus is on Emerging Market Credit products. Job Summary: As an Investment Risk Manager... and Credit products. Prior experience in either a Market Risk Manager role or an Investment Risk Manager role Proficiency...

Barclay Simpson