EQUITY CREDIT MARKET RISK jobs in LONDON, United Kingdom #3

Job Description: ​ Job Title: Credit Risk, Corporate Credit Corporate Title: Analyst/Associate Location: London... Description: You will perform financial and credit analysis, risk rating analysis ensuring adherence to prevailing credit policy and procedures...

Bank of America

TreasurySpring in 2018 to offer institutional clients a single gateway to the broadest range of the best risk-adjusted cash... to institutional borrowers. Clients include large Private Equity funds, Asset Managers, listed Corporates, high-growth tech companies...

TreasurySpring

managers. This provides access, information and relationships that are unmatched in the market, ensuring SRE is gets the “first... call and last look” on most institutional RE opportunities. Deploying capital across the risk return curve and capital...

StepStone Group

, mezzanine and preferred equity positions, development facilities and loan on loan structures. Sell the credit side... of our client’s business to the market. Leveraging existing broker contact base, including marketing initiatives...

PSD Group

you to join us on this journey. Fitch Solutions provides data, research and analytics that help clients excel at managing their credit risk..., the credit research arm of Fitch Solutions, empowers financial professionals worldwide with market insights, in-depth...

Fitch Group

by the Global Fixed Income Portfolio Management, Quant and Credit Research teams. You will be a hands-on analyst who... understands Fixed Income portfolio and risk analytics and will help run best in class enterprise level solutions within our Fixed...

T. Rowe Price

SKILLS AND EXPERIENCE Functional / Technical Competencies: Thorough knowledge of credit, risk management, market... DEPARTMENT/SECTION Our market leading Structured Finance Department (ESFO) is responsible for i) marketing, ii) originating...

MUFG Investor Services

to be a covenant analyst for our market leading leveraged finance intelligence team at Covenant Review. We are seeking a seasoned... that is consumed by a broad spectrum of leveraged finance market participants including hedge funds, CLOs, law firms, and sell-side...

Fitch Group

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

business outcomes and communicate these across the organization. Coordinate with regulatory, compliance, and risk to ensure... the value stream is contributing to meeting these commitments. Embed risk management into value stream prioritization...

S&P Global

their counterparty credit risk, market risk, regulatory risk capital and derivative valuation adjustments. Using the latest analytics... and Mathematics! Responsibilities: The successful candidate will work on Market Risk solution with a technology stack...

S&P Global

applied to asset and balance sheet optimisation under MA and VA Knowledge of market risk affecting the insurance business... Global Client Solutions - Relationship Management focusses on fundraising across all strategies of the firm including credit...

Ares Wealth Management Solutions

securities, private equity, private credit, real estate, and middle market lending. A strong candidate will have extensive...) is seeking an Associate to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors credit...

Kroll Bond Rating Agency

market of financial crime. ComplyAdvantage is an exciting fast paced organization looking for a candidate who will prospect... and Credit Unions, qualify opportunities, negotiate and close deals Effectively manage pipeline, prioritize the right deals...

ComplyAdvantage

other derivative overlays (e.g. equity options, futures and total return swaps, currency hedges or synthetic credit exposures... of complementary strategies; equity, credit and currency derivatives, credit based solutions including CDI, or other integrated...

Schroders

/Credit/Rates Derivatives trading businesses/products Good understanding of derivatives products, risk and P&L, market data.... You will be responsible for analysing, designing, and developing quantitative functionality across trade pricing, valuation, risk and P&L...

Deutsche Bank

risk and may involve management of engineering team. The successful candidate has a good understanding of DeFi ecosystem... with conviction and create long-term, sustainable value. We're a trusted connector that brings together thought leaders, market...

S&P Global