EQUITY CREDIT MARKET RISK jobs in UNITED KINGDOM, United Kingdom

, Market and Credit Risk, Audit, Finance to ensure appropriate governance and control infrastructure. Appropriately assess... demand in each respective product/market. Use existing (and help develop) trading dashboards to improve risk management...

Citigroup

, and credit risk capital assessments. As a global trading business, JERAGM has counterparty exposure in Asia, EMEA, the... Credit Risk Manager will report directly to the Senior Manager, Credit Risk seating in Singapore. Key Role Responsibilities...

JERA Global Markets

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

Job Description: Position Description The Senior Market Risk Manager will lead the Market Risk team, supporting the... business in all key market risk management matters affecting the organisation. The Market Risk team is responsible for the...

JERA Global Markets

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...

Marex

. For more information visit We are seeking a highly skilled and experienced Senior Market Risk Manager to lead a team responsible... for overseeing the market risk of the Solutions business in Marex. The Solutions business covers a number of asset classes including...

Marex

, Compliance, Market and Credit Risk, Audit, Finance to ensure appropriate governance and control infrastructure. Appropriately... client demand in each respective product/market. Use existing (and help develop) trading dashboards to improve risk...

Citigroup

Exciting Opportunity: Credit & Collections Team Manager (I&C) About Engie ENGIE is a global leader in low-carbon... energy supply and services. We have been active in the UK energy market for over 20 years, and our investments in energy...

Engie

Exciting Opportunity: Credit Control & Collections Associate in Leeds About Engie ENGIE is a global leader in low...-carbon energy supply and services. We have been active in the UK energy market for over 20 years, and our investments in...

Engie

Our global Credit platform offers focused expertise and solutions across liquidity, risk and return spectrums.... We are organised around three primary pillars: Private Credit, Fixed Income and Leveraged Credit. At Macquarie, we are working...

Macquarie Group

attractive risk-adjusted returns for our clients by investing across the entire corporate credit market, from public debt..., invest, and navigate changing market environments. Job Title: Principal Job Description: The Private Credit Strategies...

Blackstone

attractive risk-adjusted returns for our clients by investing across the entire corporate credit market, from public debt..., invest, and navigate changing market environments. Job Title: Senior Associate Job Description: The Private Credit...

Blackstone

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

Investment Risk Team is to provide independent challenge and risk measurement and management of investment risks - market-related... to the Chief Risk Officer (‘CRO’). The Risk Analyst will be a member of the second line Equity Investment Risk Team...

Aviva

; Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation... alternative asset classes, including Private Credit, Private Equity, Infrastructure, Real estate etc. What are the...

Carne Group

include behavioural risk, compliance, credit, financial crime risk, internal audit, market risk, operational risk... and governance, prudential risk, and Risk Management Group central. Our commitment to Diversity, Equity and Inclusion...

Macquarie Group