PORTFOLIO RISK ANALYST jobs in LONDON, United Kingdom #7

for brilliant Graduate Data Analysts RIGHT NOW at Grayce! Job Position: Graduate Data Analyst – Data Development Programme... developing and deploying high-performing talent, Grayce delivers a low-risk and scalable solution and enables long-term...

Grayce

positions available FOR YOU right now at Grayce! Job Position: Graduate Project and Business Analyst Location: London...’s experience developing and deploying high-performing talent, Grayce delivers a low-risk and scalable solution and enables long...

Grayce

Portfolio Analyst (Cat Risk/Pricing/Analytics) London/Hybrid Highly competitive salary (D.O.E) + strong wider... internal view of risk. To be considered; Proven experience in Pricing, Catastrophe Modelling or Portfolio Analytics...

IPS Group

of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional... to recruit a Fixed Income Credit Analyst (Analyst) to join our Credit Research team in London. This individual will focus...

Wellington Management

looking for someone to join our expanding Investment Team as a Senior Investment Actuarial Analyst. In this role you will support the Investment Team... or Investment Consulting. Working knowledge of asset allocation and portfolio construction. Fundamental investing knowledge...

Just

solutions concerning compliance, risk, portfolio management, operations, and trading. The candidate should demonstrate...Technical Business Analyst Published on February 5, 2024. Posted in , , , Business Analyst – London Front to back...

, customer-centered ambitions. Job Description We have an exciting opportunity for an Actuarial Analyst to join our Lifetime... Mortgage (LTM) team and support with the Capital Management of our Lifetime Mortgage portfolio. In this role you will work...

Legal & General

and counterparties. Experience required Experience as a Credit Risk Analyst analysing company accounts and negotiating credit... team with credit clauses and negotiation of trading contracts Monitor and support the control of credit risk and funds...

Smartest Energy

will be with relationship managers, product strategists, portfolio managers, technology and functional teams such as compliance, risk, legal...Role: As the senior ESG Reporting Business & Data Analyst within the Client Reporting function, you will contribute...

State Street

are used internally by portfolio managers and researchers and provide essential data for risk managers and product control... for the firm's portfolio managers and risk managers. Experience: Essential: 3+ years' experience within the financial...

Caxton

by portfolio managers and researchers and provide essential data for risk managers and product control. They encompass core...’s portfolio managers and risk managers. Experience: Essential: 3+ years’ experience within the financial sector Master...

Caxton

We are looking for a Credit Analyst to join our Credit Assessment department. Reporting to the Regional Credit... Manager you will be responsible for managing a portfolio of buyers, and assessing buyers according to defined targets...

Allianz

. Connect to your career at Deloitte Deloitte drives progress. Using our vast range of expertise, that covers audit, risk... we take, guiding us to deliver impact how and where it matters most. Connect to your opportunity As a Business Analyst, you'll work...

Deloitte

. Connect to your career at Deloitte Deloitte drives progress. Using our vast range of expertise, that covers audit, risk... we take, guiding us to deliver impact how and where it matters most. Connect to your opportunity As a System Analyst, you'll work...

Deloitte

this role, you will play a vital role in supporting the EM Fixed Income Portfolio Managers with research and the day-to-day... and economic risk factors Perform macro analysis to identify and analyse economic trends before they become mainstream...

Mason Blake

underwriting of new customers or the end-to-end credit risk management of existing merchants within an assigned portfolio... that is open, collaborative, entrepreneurial, passionate and above all fun. About the team Large Credit Risk actively manage...

FIS

market environments, applying trading, supply, risk management and information technology skills to what we do, all supported... Innovation, Portfolio Management, and Modernisation will contribute significantly to our journey towards a more integrated...

BP