CREDIT RISK MODELLING MANAGER jobs in LONDON, United Kingdom

. As a Credit Risk Modelling Senior Manager, you will have a senior technical specialist role supporting the external audit...We have an exciting opportunity for a Senior Manager to join our Credit Risk Assurance team. We are a specialist...

KPMG

Senior Specialist, Credit Risk Assurance Working at our iconic office in King's Cross, London or Leeds and virtually... will bring the knowledge, skills and experience to enable them to provide assurance to the Chief Risk Officer, the Chief Credit...

NewDay

will report into a Senior Manager, and part a team of 3 people performing reviews of both wholesale and retail credit risk models... reviewing new and existing/remediated credit risk models (mainly IRB but also covering IFRS9 and stress testing). This role...

Barclay Simpson

modelling of credit and other stresses in conjunction with the Bank's Risk team. Work with CFO, FP&A Director and other senior... future. The successful candidate will report to the FP&A Manager and work closely with Risk, Finance and Product teams...

Zopa

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

International Bank based in the City of London are currently looking for a Senior Credit Portfolio Manager to join them... on a Permanent basis. This role offers Hybrid working Responsibilities of Senior Credit Portfolio Manager: Take the leading role...

KennedyPearce Consulting

Join us as a Capital Risk Solutions Manager This is an opportunity for a driven Capital Risk Solutions Manager..., bank and non-bank investors Oversee all aspects of credit risk mitigation deal activity, including origination...

NatWest Group

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

risk. Hands on experience in credit risk modelling or the valuation of financial products. A master’s degree in Finance... risk modelling experience or the building and / or validating credit risk models obtained from within a bank or a credit...

BDO

. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts work with Front Office... end results. Actively monitoring assigned portfolio of IG and NIG corporates for potential changes in credit risk. Assign...

MUFG Investor Services

Career Returner: Credit Research Analyst - Public Markets Application Closing Date: 26th May 2024 Aviva Investors... is hiring a Senior Credit Research Analyst to supplement our existing asset management team in London. This position...

Aviva

is looking to add an experienced Market Risk Manager to lead the Risk team in London. The Risk Specialist will support the business in all key risk.... Conduct an in-depth quantitative analysis across the risk and credit functions, ensuring the models and portfolios...

Selby Jennings

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular assessments of market risk...

Marex

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular assessments of market risk...

Marex

) quantitate modelling (credit risk IFRS9 modelling). Understanding the bank's operations, processes and tools to forecast the... in the financial services, risk management and finance communities. Being a boutique consulting firm focused on risk...

InterQuest Group

Assistant Portfolio Manager About Schroders We’re a global investment manager. We help institutions, intermediaries... and risk management overlays for clients, using our range of multi-client and bespoke pooled funds, as well as through...

Schroders

Bank's objectives whilst adhering to the Credit Policy and the Bank's Risk Management Framework Work closely with Credit..., EDDs, CDDs Undertake stress scenarios with forward looking cash modelling and demonstrate understanding of Risk Rating...

Michael Page