MANAGER CREDIT RISK MODELS jobs in United Kingdom #2

Job Description: Employer: DWS Group Title: Senior Risk Manager CLO Location: London About DWS..., and supporting the sustainable growth, of a world leading asset manager. The Risk Management team is responsible for the...

Deutsche Bank

What will make you stand out? We are looking for someone who ideally has Credit Risk/IRB Modelling expertise coupled with critical... to meet revised ECB and EBA IRB Repair Programme requirements. We are part of the Credit Risk family within the Bank...

Bank of Ireland

/ Credit Risk Manager To be committed to the fair treatment of customers at all times Ensure compliance with all applicable...Senior Credit Risk Analyst- Yorkshire (Hybrid)- up to £45K A well-established Client is looking for a Senior Credit...

Merje

required - with an understanding of credit risk, rating agency methodology, and the ability to analyse / sensitise financial models. Organised... and sustainable future. Job Description We have a brand new role as a an Asset Manager to support the ongoing management...

Legal & General

Credit Portfolio Manager Venn Group are working with a banking institution in London seeking to expand its Credit... Department. As a Credit Portfolio Manager, you will oversee a portfolio of intricate Project Finance Loan transactions. This role...

Venn Group

Credit Portfolio Manager Venn Group are working with a banking institution in London seeking to expand its Credit... Department. As a Credit Portfolio Manager, you will oversee a portfolio of intricate Project Finance Loan transactions. This role...

Venn Group

of stress testing models for use in loan and Counterparty Credit Risk (CCR) portfolios. Consistently demonstrate clear.... What we’ll need from you Experience in credit risk management experience in the financial services industry. Strong knowledge...

Citigroup

lending products, ideally both Unsecured and Secured products Have strong knowledge of Economic Crime and Credit Risk models...A fantastic opportunity has become available as a Risk Manager Lead in our thriving Risk Decision Science & Analytical...

Nationwide

below. What is the purpose of the role? The Pricing and Risk Manager contributes to the overall success of the Private Client business... modelling, financial modelling, credit scoring modelling, ROE modelling, prepayment risk modelling, and IRB modelling. Regularly...

Investec

Title: Assistant VP Portfolio Risk Manager Finance Location: London Duration: 18 months Hybrid: 3 days in the... nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades...

Adecco

Job Description: Position Description The Senior Market Risk Manager will lead the Market Risk team, supporting the... to the Market Risk-specific coverage, the Senior Market Risk Manager will also be expected to be involved in all key risk...

JERA Global Markets

and consistently applying the RMF including the Capital Model and its uses and limitations. The Risk Manager provides advice.... What Will You Do? Is a relationship manager for the business units (‘BU’), through ad hoc and regular Risk and Control Self-Assessment (‘RCSA’) meetings...

The Travelers

, and risk mitigation techniques. Sound portfolio management skills. Knowledge of analyzing the outputs from credit models... utmost integrity, and in an environment where everyone is seen, heard and feels like they belong. In Credit & Fraud Risk...

American Express

be someone with Strong professional interest in the fields of retail and corporate credit risk, scorecard methods, internal ratings-based models, model... risk modelling experience or the building and / or validating credit risk models obtained from within a bank or a credit...

BDO

, and in an environment where everyone is seen, heard and feels like they belong. In Credit & Fraud Risk how we serve...) sits within the Credit & Fraud Risk division and forms a key component of the institutional credit risk management function...

American Express

; Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation... and business, covering risk management and valuation aspects; Working with financial models for discounted cash flow, market...

Carne Group

of our team, you will ensure the company operates within its credit risk appetite by maintaining and enhancing credit risk... reporting and analysis. This includes routine and project work on credit risk performance, producing management information...

Tandem Bank