Global Client Solutions - Relationship Management focusses on fundraising across all strategies of the firm including credit... record in new idea generation and implementation of insurance friendly asset strategies Strong quantitative modelling skills...
Ares Wealth Management Solutions. Identifying and escalating risks – credit, market, operational or legal – to senior management and Global IBR Head. Continuously... credit risk and monitoring the platform exposure by evolving the risk framework and other risk governance items to ensure...
Citigroupundertaking comprehensive due diligence, including financial, market, integrity and EBRD policy compliance, as well as effective... project; - be the primary driver of the scope and quality of project due diligence, including financial, market, integrity...
European Bank for Reconstruction and Developmentundertaking comprehensive due diligence, including financial, market, integrity and EBRD policy compliance, as well as effective... project; be the primary driver of the scope and quality of project due diligence, including financial, market, integrity...
European Bank for Reconstruction and Development, credit, and working capital through seamless integrations and instant credit decisions. Founded in 2011, Kriya has helped... businesses collect over £20 billion in B2B payments, and advanced over £3 billion worth of credit through working capital...
Kriyadeals all the way through to credit committee, independently manage the execution process and own the full customer... an updated prospective client database Assist in the preparation of deal specific credit memoranda for transaction recommendations to credit...
OakNorth Bank, and through use of quantitative Schedule Risk Analysis tools. - Raise the profile of the project programme among the project... - providing them with a market leading project development service and certainty of operational performance and asset management...
SSEclasses and model types (derivative pricing models, credit and market risk, capital models, AI models, etc. ) and in line... commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. As one of the top...
MUFG Investor Servicesand executions) Assume full responsibility for a certain number of processes (progressing credit requests, walking the clients hand... and credit analysis (review financial statements, listen to and summarize investor presentations, and support credit approval...
JPMorgan Chasesecurities, private equity, private credit, real estate, and middle market lending. A strong candidate will have extensive...) is seeking an Associate to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors credit...
Kroll Bond Rating Agency. You will be the commercial lead across several strategies, including Balance Growth, engagement & retention, and Credit Limit... initiatives, working alongside Product, Marketing & Credit Risk teams to ensure NewDay achieves its commercial objectives. The...
NewDayat the movement in market parameters, such as interest rates, credit spreads and FX rates. Counterparty Credit risk assesses... Markets businesses. TRM is responsible for Market Risk, Product Control, IPV, Counterparty Risk Measurement. Market risk looks...
INGat the movement in market parameters, such as interest rates, credit spreads and FX rates. Counterparty Credit risk assesses... Markets businesses. TRM is responsible for Market Risk, Product Control, IPV, Counterparty Risk Measurement. Market risk looks...
INGinvestment firm in the world. We realize that it's our people who give us a competitive advantage and drive success in the market... Fixed Income, Systematic Credit)’, with scope for exposure to the full array of fixed income strategies at AB Contribute...
AllianceBernsteinto protect solvency under adverse events. In particular: The annual calibration of market and credit risks, as well as the..., or someone with quantitative practical work experience at this level. The role will involve supporting a Solvency II internal model development...
M&Gand quantitative analysis with Excel, Bloomberg, and Business Query Perform risk management, attribution, market commentary... our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating...
PIMCOagainst market volatility and other external factors. Responsibilities: * Risk Identification and Assessment: Identify..., and other external factors on investment risks. Utilize quantitative models, stress testing, scenario analysis, and other risk...
Barclay Simpson