CREDIT RISK MODEL ANALYST jobs in United Kingdom #3

called for in conjunction with Credit Risk. Work closely with internal and external model review teams to provide analysis... and modelling skills, you will help shape the future of the impairment team. Working closely with the Finance and the Credit risk...

Vanquis Bank

Analyst within GI or PMI? Do you have programming knowledge of SQL, R, Python, SAS or similar and some experience of Emblem... in our new Pricing Analyst role working within our growing Pricing Team Package: Salary DOE, with excellent benefits...

Animal Friends Pet Insurance

changes into our Credit Risk Capital framework. Helping to deliver key priorities for the Firm, including the implementation... in US / CRR3 in EU). As a Senior Business Analyst in the Capital Product Team you will be responsible for delivering...

JPMorgan Chase

, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the... confidence and freedom to explore, create and build - to enable people and businesses to thrive. Capital Actuarial Analyst...

Munich Re

Citi is looking to hire a Markets Analyst to cover the European Corporates across Investment Grade and Crossover Credit..., Compliance, Market and Credit Risk, Audit, Finance Build a culture of responsible finance, good governance and supervision...

Citigroup

: As a Quantitative Finance Analyst you will; Validate XVA and Counterparty Credit Risk system models and feeder models of bank... validated Perform independently testing to identify/quantify model risk associated with the model being validated Prepare...

Bank of America

property. The team comprises both credit analysts as well as model specialists with experience in Ratings and the Capital... to varied asset classes and sectors. Team members typically specialize in either model validation or criteria validation/credit...

S&P Global

SCUK Senior IRB Quantitative Analyst Country: United Kingdom Santander Consumer Finance is one of the UK’s Leading... Motor Finance companies and we are currently looking for a Senior IRB Quantitative Analyst to primarily be responsible...

Santander

: Integrate and enhance interest rates, credit, pricing, and risk models. Collaborate proactively with stakeholders..., risk, and credit products. Strong written and verbal communication skills with confidence in liaising with senior traders...

Barclay Simpson

of the model, understanding what drives changes, sense-checking results (at the level appropriate for an analyst). Being...Job Title Pricing Analyst, S&R Deal Pricing Job Description The Team The Savings & Retirement Deal Pricing team...

as a credit analyst with experience in fund lending, investing, or structured finance is a significant plus. Ability to work...Position Title: Funds Ratings - Senior Analyst (London) Entity: Kroll Bond Rating Agency UK Limited Employment...

Kroll Bond Rating Agency

. DTCC offers a flexible/hybrid model of 3 days onsite and 2 days remote (Onsite Tuesdays, Wednesdays and a third day..., Project and Release management, Risk management, Legal and Compliance, Onboarding and the User Acceptance Testing team. The...

DTCC

, including cash flow models, considering risk and return metrics, capital and regulatory requirements. Collaborate with LGC/LGR... financial models to analyse investment opportunities in an underwriting, investment or credit rating capacity (Desirable...

Legal & General

risk and return metrics, capital and regulatory requirements. Collaborate with LGC/LGR Investment and Structuring teams... investment opportunities in an underwriting, investment or credit rating capacity (Desirable) Strong MS Excel skills...

Legal & General

risk to ensure those risks associated with the change are understood by all stakeholders. Utilises market knowledge... understanding of Insurance Operations, Data, Credit Control. Ideally: Experience of working across time zones in a geographically...

Howden Group Holdings

readership make better-informed trading, risk management, and investment decisions Responsible for the accurate and timely... and straightforward content Ability to manipulate large, complex datasets and transform model results into clear, meaningful insight...

S&P Global

Consumer Finance credit risk strategy, scorecards and financial models to improve profitability Deliver predictability... development Working with Risk Team Managers to support the education of the broader risk team with model development skills...

Novuna