CREDIT RISK MANAGER jobs in PUTEAUX HAUTS DE SEINE, United Kingdom

Credit risk analyst (B2B Supply) About US (GEMS): ENGIE Global Energy Management & Sales (GEMS) provides energy....linkedin.com/company/engie-global-energy-management-solutions). Context: The B2B Supply Credit risk Analyst role is part of EC Risk...

Engie

Job Description: We are currently seeking a Financial Risks & Financing Solutions Manager, reporting directly to the... risks, make recommendations and set-up risk mitigation plan Negotiate international trade banking and insurance instruments...

Technip Energies

will be to take charge of credit management for a region under the responsibility of the Credit Manager. In a challenging and evolving... constantly with the Credit Manager and the Sales Department, in order to inform them of customer credit problems and answer...

L'Oréal

Financings, Significant Risk Transfer, Mortgages, Loans & Private Debt, Credit Hedging Fund, …) with local presence in Europe... and in the US. The Portfolio Manager / Analyst will join the Alternative Credit Origination team (4 persons) that focuses...

AXA

intervient sur l'ensemble des problématiques liées au Risque de crédit, Risque de contrepartie, Risque de marché, Risque... en lien avec la règlementation prudentielle. Nous recherchons notre prochain Manager afin de renforcer notre offre en Risque...

Forvis Mazars

intervient sur l'ensemble des problématiques liées au Risque de crédit, Risque de contrepartie, Risque de marché, Risque... en lien avec la règlementation prudentielle. Nous recherchons notre prochain Senior Manager afin de renforcer notre...

Forvis Mazars

? Vous souhaitez évoluer au sein d’un des leaders mondiaux, acteur de référence, en Audit, Conseil, Financial Advisory, Risk Advisory... de levée de fonds (dettes et fonds propres) et de structuration financière. En tant que Manager F/H, vous prendrez en charge...

Deloitte

investissements Suivi des polices Political Risk Insurance Financements liés (aide liée / crédit acheteur ECA) des contrats... Investissement est en charge des financements internationaux (financements émis ou réhaussés par des agences de crédit-export...

Suez

« durable » Définition d'une stratégie de décarbonation et opérationnalisation du cycle de vie du crédit Conception de plan... front-to-back-to-risk (processus, gouvernance, données, SI) Données ESG Liste de l'ensemble des cas d'usage (métiers...

EY

Packaging Procurement Manager for Aluminum, Tear strip, and Preformed Plastic and Cardboard Pots categories... · Helping to resolve supplier disputes: qualitative, quantitative, returns, credit note requests · Building budget for the...

Groupe Bel

.€85 billion of primarily private real estate, over €88 billion of private debt and alternative credit, as well as c.€11..., North America, Asia Pacific and Middle East. We are the number one property portfolio and asset manager in Europe...

AXA

.€85 billion of primarily private real estate, over €88 billion of private debt and alternative credit, as well as c.€11..., North America, Asia Pacific and Middle East. We are the number one property portfolio and asset manager in Europe...

AXA

Investment Managers (AXA IM) is a responsible asset manager, actively investing for the long-term to help its clients, its people... investment targets whilst incorporating proactive ESG commitments and strict risk management criteria. AXA IM Prime oversees...

AXA

Investment Managers (AXA IM) is a responsible asset manager, actively investing for the long-term to help its clients, its people... investment targets whilst incorporating proactive ESG commitments and strict risk management criteria. AXA IM Prime oversees...

AXA

or servicers, ESG-scoring and assessment of the sustainability risk, redaction of credit memos, presentations to investment... and will also develop our quantitative capabilities to monitor global market development trends, both public and private credit markets...

AXA