CREDIT RISK MANAGER jobs in LONDON, United Kingdom #3

(IBR) and have the responsibility for counterparty and platform risk management. As a risk manager in In-Business Risk (IBR... by independent risk and senior product stakeholders. Work closely with Credit/Execution/Onboardings team to help facilitate limit...

Citigroup

Job Description: Job Title: Industry Reputational Risk and Europe manager incl. UK RRRC Secretary Location: London... Corporate Title: Vice President The Chief Risk Office function has Group-wide responsibility for the management and control...

Deutsche Bank

Role Summary: Our client, a leading international group, is seeking a Senior Treasury Risk Manager... reporting for currency, commodities, rates, and credit risk. Deliver insights to the group and its businesses. Working...

Barclay Simpson

DESCRIPTION We are looking for an experienced financial services Risk Manager, with a preferred focus on insurance... distribution or credit broking and related products. Sitting in the second line of defence Risk team, the Insurance Products Risk...

Amazon

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

Our client, a large global asset manager, is looking for a Counterparty Credit Risk Manager for a 12-month... Recent Posts...My client is looking to hire a Risk & Controls Manager within their SOX Controls team based in Milton Keynes for a 12...

Bruin Financial

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

Job Description: Job Title: Senior Risk Manager, Digital Assets Location: London DWS Group (DWS) is one of the... type (e.g. Credit, Market, Liquidity, Operational) and embedding the Group's Risk Management Framework for that risk...

Deutsche Bank

and consistently applying the RMF including the Capital Model and its uses and limitations. The Risk Manager provides advice.... What Will You Do? Is a relationship manager for the business units (‘BU’), through ad hoc and regular Risk and Control Self-Assessment (‘RCSA’) meetings...

The Travelers

, one piece of software at a time. The Risk Manager position is a hands-on, high impact role that will require experience in... Enterprise risk management, specifically in the financial services industry. The risk manager will be responsible for the...

Blockchain.com

particularly with the Treasurer, business credit, operational risk, risk and finance directors and their teams WE WOULD LOVE... you balance your work and home life. This role leads the Asset & Liability Management Risk (‘ALM Risk’) team and covers...

Close Brothers Group

of governance & risk. a specialty in any of the following: corporate governance, operational resilience, conduct risk, credit risk... and risk team. This team aids financial services firms across banking, insurance and asset & wealth managers...

BCT Resourcing

of governance & risk a specialty in any of the following: corporate governance, operational resilience, conduct risk, credit risk... and risk team. This team aids financial services firms across banking, insurance and asset & wealth managers...

Oliver James Associates

portfolio. This role will focus on retail and corporate credit risk provided expert advice in scorecard methods, internal... be someone with Strong professional interest in the fields of retail and corporate credit risk, scorecard methods, internal ratings-based models, model...

BDO

; Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation...We are seeking a highly motivated and experienced Valuation and Investment Risk Specialist to join our growing team in...

Carne Group

. Strong data and analytical skills are a must. Previous experience working in a credit risk role is essential, exposure to consumer... to design and deliver initiatives to improve our credit underwriting, boost growth and/or manage portfolio risk...

Monzo

for third party manager research and portfolio management of external sterling and global credit fixed income funds... as well as the end to end manager process from selecting, on-boarding and monitoring the external managers to manager exit. The BP...

BP