CREDIT RISK MODELLING SENIOR jobs in LONDON, United Kingdom #4

and compliance to play a central role in enabling and risk managing fundamental changes to the business as it executes its growth... management reporting processes and prepare accompanying commentary to aid understanding amongst senior management, the Board...

Papier

of Internal Model and Senior Actuaries in the team to maintain and develop the Internal Model used to calculate the regulatory... capital requirement for the firm. The role covers all aspects of capital management and modelling, and includes compliance...

Just

enabling and risk managing fundamental changes to the business as it executes its growth strategy. The company is seeking... and prepare accompanying commentary to aid understanding amongst senior management, the Board and investors Cost control...

Papier

call and last look” on most institutional RE opportunities. Deploying capital across the risk return curve and capital... industry such as opportunistic, value-add, core and credit. The individual will work in a team environment with other Research...

StepStone Group

The Credit Sector Specialist is a senior level position responsible for generating market commentary and trade ideas... and produce internal content to update sales/trading on market moving news and views Monitor and evaluate desk risk positions...

Citigroup

project objectivities with the) Senior Project Manager (SPM)/Project Director (PD) and developing a strategy for achieving... these. Identifying, escalating and managing any matters that could pose a potential contractual/commercial risk...

AtkinsRéalis

project objectivities with the) Senior Project Manager (SPM)/Project Director (PD) and developing a strategy for achieving... these. Identifying, escalating and managing any matters that could pose a potential contractual/commercial risk...

AtkinsRéalis

of Real Estate, Infrastructure, Global Transportation Group (“GTG”), Private Equity, Private Credit, Liquid Alternatives... liquidity for operational and risk analysis; Prepare and manage analysis of asset, fund and business level budgeting...

JPMorgan Chase

and financial documentation; A proven track record in real estate debt lending; Ability to assess credit risk in relation... -£250m. You will provide day to day support to more senior colleagues on new investment transactions. You will support on the...

Aviva

&A, Commercial and Credit Risk teams. The specific role will contribute to the success of Treasury by providing 1) support... daily cash levels, seek to improve modelling and reporting capabilities Ensure all relevant policies and procedures...

NewDay

with a primary focus on valuation. This will be undertaken through detailed financial modelling of forecasted cash-flows and through... robust relative risk assessment, including sensitivity analysis. Compile industry and market data to identify emerging...

CPP Investments

with a primary focus on valuation. This will be undertaken through detailed financial modelling of forecasted cash-flows and through... robust relative risk assessment, including sensitivity analysis. Compile industry and market data to identify emerging...

CPP Investments

financings, and refinancings. Conduct comprehensive financial analysis and due diligence to assess credit risk and evaluate... Associate will work closely with senior team members to identify opportunities and drive successful outcomes for clients...

Buchanan Graduates

, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the... lessons learned, and suggest areas for improvement. Communicate changes to senior stakeholders in simple, clear business...

Munich Re

project objectivities with the) Senior Project Manager (SPM)/Project Director (PD) and developing a strategy for achieving... these. Identifying, escalating and managing any matters that could pose a potential contractual/commercial risk...

AtkinsRéalis

experience in: Front office valuation/pricing models, Counterparty Credit Risk, XVA, Market risk, Model Validation, Initial... Margin modelling Solid understanding of EU and UK regulations applicable to OTC derivatives, and associated model risk...

TORA