EQUITY CREDIT MARKET RISK jobs in United Kingdom

Director – Private Markets/Equity Credit Risk Manager Are you looking for a career move that will put you at the... financial services that enable growth and economic progress. Team/Role Overview The Credit Risk Manager will lead the 2nd...

Citigroup

Job Description: Job Title: Global Markets Credit - Private Equity Trading Corporate Title: Vice President... the credit underwriting and ongoing monitoring for a portfolio of trading and lending exposures facing Private Equity...

Bank of America

risk, management of collateral risks and management of traded risks. The Traded Markets team (TMT) is split into a Market... and Liquidity risk team, the EEA Financial Reporting and Analysis team, the Projects and Change team and the Credit Risk Reporting...

Bank of England

specialized credit portfolio, in collaboration with various CDPQ teams, including the investment and risk teams. As such, he... every day. Job Description Role Reporting to the Vice-President, Risk – Fixed Income and Governance based at the...

CDPQ

Job Description: Employer: DWS Group Title: Senior Risk Manager CLO Location: London About DWS.... This is your chance to achieve your goals and lead an extraordinary career. Team / division overview The Chief Risk Office (CRO...

Deutsche Bank

) is the quantitative modelling team with overall responsibility for market, liquidity and counterparty credit risk methods... measurement and management, including market risk modelling, counterparty credit risk including collateral and initial margin...

BNP Paribas

on the status of risks to which the Bank is exposed. A RISK framework adapted to each Business : · Credit risk · Market...: · Global Equity & Commodity Derivatives ; · Global Macro (G10 Rates, FXLM, Global Repo), Credit Derivatives · GMAT, Tech...

BNP Paribas

team focussing on Private Equity and Infrastructure clients. Working on high profile assignments with some of the best in... equity transactions, within a highly commercial, client focussed environment. Our core services are buyside and sellside...

Deloitte

. We are also a leading innovator in the derivative market, structuring derivatives to manage risk, enhance yield and solve clients' complex.../Systematic market making tools Required qualifications, capabilities, and skills Solid experience in a Credit Trading role...

JPMorgan Chase

Credit Management department is the second line of defence (2LoD) credit function that is responsible to prepare risk... assessment reports and credit recommendations in support of existing and new business for the Bank. As a Senior Credit Analyst...

Bank of China

Job Description: About the Role: Grade Level (for internal use): 11 The Team: The practice provides credit... Ratings group as a Senior Analyst in the Structured Credit practice. The successful candidate will enhance...

S&P Global

underwriting administration and credit control experience within the Commercial/London Insurance market. Credit Control..., then this is the role for you. As a Credit Controller, you will ensure prompt collection and reconciliation of premiums, minimisation...

QBE Insurance

generates leading-edge research and commentary on credit market behavior, default research, and ratings behavior. The Impact... details for clients, including bankers, risk managers, and senior internal managers Stay actively abreast of financial market events...

S&P Global

recommendations and strategies, and development of tools to trade Credit Relative Value strategies based on fundamental and market... record of managing risk, conducting research, or providing analysis in the implementation and monitoring of Credit RV...

CPP Investments

Risk Office function has Group-wide responsibility for the management and control of all credit, market, operational... management of a specific risk type (e.g., credit, market, liquidity, operational). You will leverage your deep understanding...

Deutsche Bank

Executive Risk Committee. Risk Assessment & Reporting: Analyse and report on key market & competitive risks. Monitor and update... the Market & Competitive Risk Report biannually. Strategic Insights & Recommendations: Provide strategic insights...

AVEVA

, such as energy supply contracts or PPAs; market/credit/liquidity/operational risk management or management of bespoke complex risk in... across all energy and financial asset classes, including equity, foreign exchange, fixed income, credit, commodities and energy. The...

FTI Consulting