NON FINANCIAL RISK PORTFOLIO jobs in ENGLAND, United Kingdom

Job Description: Job Title: Non-Financial Regulatory Reporting Change Management Professional Corporate Title: Up... to help make financial lives better through the power of every connection. Responsible Growth is how we run our company...

Bank of America

and global financial capabilities of Citi. We deliver extensive industry knowledge, local expertise and dedicated service support.... We are focussed on providing banking and financial solutions to our clients across 5 key growth industries - Business & Professional...

Citigroup

Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group... (MUFG), the 7th largest financial group in the world. Across the globe, we’re 160,000 colleagues, striving to make...

MUFG Investor Services

. This translates to a substantial financial and staff investment and represents a significant opportunity and risk to our university... of our university strategy. The Head of Portfolio Delivery Assurance is part of the IT Leadership team and is the leader of the...

University of Birmingham

of Service - Portfolio and Strategy (Environment & Communities) you can make your own powerful contribution to Westminster..., you'll also work on risk and performance management, and ensure that the appropriate checks and controls are taken to ensure...

Westminster City Council

of Service - Portfolio and Strategy (Environment & Communities) you can make your own powerful contribution to Westminster..., you’ll also work on risk and performance management, and ensure that the appropriate checks and controls are taken to ensure...

NHS

Design approaches to measure and target a sustainable portfolio mix, considering risk vs reward and Lloyd's strategic...Portfolio Analysis Associate Lloyd’s is the world’s leading insurance and reinsurance marketplace. We share the...

AWD online

delivery in banking or financial domain Experience in Indexing / portfolio management Solid understanding of Index Management... to transform the core Index Platforms and scale growth for FTSE Russell. The Senior Product Manager – Index Portfolio...

London Stock Exchange Group

Join one of the world’s leading international banks as they expand their in-business risk team focused on portfolio..., encompassing both agency and non-agency MBS, along with other related products. Based in the vibrant financial hub of London...

Barclay Simpson

, new and ‘smart’ methodologies to optimize the follow portfolio and algorithms/models to support pre-bind risk selection..., financial lines and specialty. With an innovative and flexible approach to risk solutions, we partner with those who move the...

AXA XL

, procedures and authority guidelines as required to enable portfolio underwriters to profitably achieve financial goals..., professional, financial lines and specialty. With an innovative and flexible approach to risk solutions, we partner...

AXA XL

. Your Team Our team is responsible for executing the Delegated Authority and Portfolio Solutions Underwriting and Distribution... on technical excellence, we strive to uphold the highest standards in managing delegated authority arrangements and portfolio...

Allianz

compliance, the good governance of the organisation, its financial stability and appropriate risk management. Represent.... Satisfy them that the integrity of financial information and that financial controls and systems of risk management are robust...

England Lacrosse

, its financial stability and appropriate risk management. Represent and champion England Lacrosse by being its advocate...Role Description To become an Independent Non-Executive Director (INED) on the English Lacrosse Association Limited...

England Lacrosse

Senior Manager - Non-Life Actuarial - Retail Reserving, Bristol or London At EY, you'll have the chance to build... either Bristol or London). We have invested to grow our team in this area, setting up a new non-life practice in Bristol to focus...

EY

/ Key Skills Working Experience Experience in Market Risk Management in investment bank, CCP or similar financial...The ForexClear Business Risk team sits within the 1st line Risk team in ForexClear. The team is responsible for 1st...

TORA

of controls Manage the risk portfolio to include linking risk to controls, acceptance of risk and managing remediation plans...Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group...

MUFG Investor Services