QUANTITATIVE MODEL RISK ANALYST jobs in LONDON, United Kingdom #2

Analyst/Associate, UK Structured Finance Country: United Kingdom Business area introduction The European Energy... to them working jointly with the team head and other areas of CIB such as Debt Capital Markets, Ratings Advisory and Risk...

Santander

products. Knowledge of credit assessment techniques and policies of US banks preferred. Risk assessment and quantitative...The Special Assets Senior Analyst role sits within the Citi’s Global Special Assets Group who are responsible for the...

Citigroup

expert for all things cyber threat intelligence, serving as an all-source Cyber threat intelligence analyst, feeding..., analysing, and interpreting qualitative and quantitative data from multiple sources. Understanding of the MITRE ATT&CK...

Macquarie Group

and sustainable future Job Description We are seeking a portfolio analyst to join our team to help drive continued growth for the... and expertise of the team's investment strategists, economists and fund managers. What you'll be doing Quantitative...

Legal & General

– one that makes better decisions, drives innovation and delivers better business results. Title and Summary Senior Analyst..., Enterprise Strategy Overview Senior Analyst, Strategy – Strategy, Excellence, and Operations Team (IMK Co-Presidents’ Office...

Mastercard

with their flat organisational structure that values the contribution of all team members. They operate a generalist model and so the... Investment Analyst role is a unique opportunity to build experience across multiple asset classes and investment strategies...

Mindbench

Financial Analyst Certification). Quantitative skills in the areas of structured finance, credit derivatives, default... markets, credit analysis / research, quantitative finance, model development or validation. Proficient programming skills in...

S&P Global

as a Quantitative Analyst developing models in quantitative finance, IT development, or a trading environment A degree in mathematical...Working Model: Hybrid, travel at least twice a week in the office can be required Duration: up to end of 2024...

Experis

to protecting businesses. We are looking for a Distribution Analyst (m/f/d), based in London to work as part of our Global... broad range of data available. Collates & analyses qualitative and quantitative feedback from regions on broker performance...

Allianz

Our client is a well-established, Global Investment bank who seek a high calibre Quantitative Analyst / Strategist who...: Integrate and enhance interest rates, credit, pricing, and risk models. Collaborate proactively with stakeholders...

Barclay Simpson

Position Title: Funds Ratings - Senior Analyst (London) Entity: Kroll Bond Rating Agency UK Limited Employment...) is seeking an Senior Analyst to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors...

Kroll Bond Rating Agency

Job Description: Your impact The Senior Analyst, Revenue Analysis & Pricing is responsible for revenue analysis... for potential business model transformations, developing pricing for new airline opportunities, and quantifying new revenue streams...

Intelsat

while adhering to our risk appetites and parameters. As Investment Credit Analyst, your primary focus will be on credit strategy... oversight of externally managed investment portfolios, including quantitative analysis and qualitative reviews. Conduct macro...

Direct Line Group

Catastrophe model databases Familiarity with one or more of RMS RiskLink, RMS Risk Modeler, AIR Touchstone, IF Elements Good... opportunity for a Catastrophe Modelling Analyst to join our Accumulation Management Technical Solutions team in London...

QBE Insurance

This London based Finance Analyst position is a newly created role with an established credit fund. The... of integration between P&L, Cash Flow and Balance Sheet. Highlighting inconsistencies, errors or higher risk areas with the deal team...

Michael Page

and will help drive quantitative and qualitative research about the natural gas sector in Europe. A wide client base from across the... readership make better-informed trading, risk management, and investment decisions Responsible for the accurate and timely...

S&P Global

management Deep knowledge in financial services offering, including e.g. Finance, Risk and Compliance,Financial Crime, Core... required to develop Target Operating Model detailing the Process, Controls, Impacts & changes required to support to required new products...

Capco