MANAGER COUNTERPARTY CREDIT RISK jobs in UNITED KINGDOM, United Kingdom

Risk Monitoring (primary responsibility) Measurement, monitoring and control of credit and counterparty risks on assigned... proposals and present recommendations on credit and counterparty risk limits for new and existing businesses, and as part of the...

ofi

Job Description: Job Title: Audit Manager - Counterparty Credit Risk specialism Corporate Title: VP Location... is global and covers Counterparty Credit Risk. You will be responsible for coordinating, scoping and leading team reviews (incl...

Bank of America

📢 Job Opportunity: Project Manager - Credit/Market Risk 📈 📍 Location: Canary Wharf - hybrid working - 3 days..., a dynamic and globally recognised institution within the financial industry, is seeking an exceptional Project Manager - Credit...

Adecco

for ongoing credit risk portfolio management including monitoring of counterparty exposure, market events, regulatory developments.... As a Credit Risk Hedge Fund and Asset Managers Associate in EMEA Wholesale Credit Risk Organization you will be responsible...

JPMorgan Chase

, 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

Market Risk, Counterparty Credit Risk, Liquidity Risk, Regulatory Risk, and XVA Buyside Expertise Practitioner experience...Job Description: About the Role: Grade Level (for internal use): 15 Head of Financial Risk Analytics - Credit...

S&P Global

Job Title: Finance Operations Cash & Credit Control Manager Reporting to: Head of International Finance Operations... application, Treasury and Accounts Payable activities. Finance Operations Cash & Credit Control Manager role...

Tokio Marine

(IBR) and have the responsibility for counterparty and platform risk management. As a risk manager in In-Business Risk (IBR... with experience working in a role such as market or counterparty credit risk with the relevant product experience who...

Citigroup

Job Description: Employer: DWS Group Title: Senior Investment Risk Manager – Fixed Income/Factor Investing... programs to control and manage market, liquidity and counterparty risk, which includes the regular monitoring analysis...

Deutsche Bank

Job Description: Job Title: Senior Risk Manager, Digital Assets Location: London DWS Group (DWS) is one of the... type (e.g. Credit, Market, Liquidity, Operational) and embedding the Group's Risk Management Framework for that risk...

Deutsche Bank

will build on core understanding of market, counterparty credit, and liquidity risk types and how senior management manages... and controls those risk types across the legal entities. What we’ll need from you: Previous experience in counterparty credit...

Citigroup

to promote an optimal risk / return on the banks’ lending and trading opportunities. Credit analysis is a 40+ team organised... into 5 sector teams. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts...

MUFG Investor Services

. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts work with Front Office..., counterparty, industry and macroeconomics. Main Purpose of the Role We are looking for a senior credit analyst to cover...

MUFG Investor Services

and to measure, monitor, analyse and report investment risks (market, liquidity, counterparty credit, leverage, valuation risks..., please read on. Role Purpose (-%Role purpose) This role is to undertake a variety of tasks within the Investment Risk Team...

Local Pensions Partnership

Function providing appropriate insight and assurance to the CRO about the financial (insurance, market, counterparty credit... Insurer in their search for a Head of Financial Risk. In this role you will lead the Financial Risk area of the Risk...

Merje

individual to join the team in the role of Stress Testing Manager This role sits under the Traded and Treasury Risk function... and is part of the Global Risk Organisation. The Stress Testing Manager is part of the Subject Matter Experts (SMEs) in charge...

HSBC

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

PIMCO