REGULATORY CREDIT RISK MODELLING jobs in United Kingdom #4

real risk reduction outcomes. Embed threat modelling, solutions architecture, secure code review into product... to identify and quantify security issues within their business and empower them to take decisive risk decisions at speed and scale...

JPMorgan Chase

deliverables for credit risk, mainly focussed on the matching adjustment attestation workstream Skills and Knowledge Excellent... management and Solvency II framework Ability and experience of modelling investment risk on liquid and illiquid investments...

Just

, such as energy supply contracts or PPAs; market/credit/liquidity/operational risk management or management of bespoke complex risk in... experience in quantitative modelling, derivative valuation or risk management roles in investment banking, asset management...

FTI Consulting

, such as energy supply contracts or PPAs; market/credit/liquidity/operational risk management or management of bespoke complex risk in... experience in quantitative modelling, derivative valuation or risk management roles in investment banking, asset management...

FTI Consulting

for business and regulatory requirements work closely with other QA teams to develop cross-asset solutions for risk management... of models used for the valuation and risk management of the firm's trading positions in interest rate, credit and hybrid...

UBS

, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the.../benefit analysis, impact and risk analysis for each option. Requirements Definition and Management Plans and drives...

Munich Re

, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the.../benefit analysis, impact and risk analysis for each option.​ Requirements Definition and Management Plans and drives...

Munich Re

, credit, rates and commodities Analyse market data and monitor trading performance Manage risk and ensure compliance... with regulatory requirements Skills: Strong analytical and quantitative skills Excellent knowledge of financial markets...

Selby Jennings

Bank's objectives whilst adhering to the Credit Policy and the Bank's Risk Management Framework Work closely with Credit..., EDDs, CDDs Undertake stress scenarios with forward looking cash modelling and demonstrate understanding of Risk Rating...

Michael Page

according to the Bank's objectives whilst adhering to the Credit Policy and the Bank's Risk Management Framework Work closely... submissions, EDDs, CDDs Undertake stress scenarios with forward looking cash modelling and demonstrate understanding of Risk...

Michael Page

, technology, and business colleagues on an on-going basis for business-as-usual audit and regulatory engagements, risk activities... and quantify security issues within their business and empower them to take decisive risk decisions at speed and scale. You're...

JPMorgan Chase

across FX, Rates, Commodities, and Credit markets, designing and implementing automated pricing, risk management and hedging... back testing and assessing pricing, risk management and execution strategies Expand the group's library of modelling...

JPMorgan Chase

with brokers and internal departments for credit control, claims and risk information. · Analysis of underwriting submissions... to form opinion on risk quality and appetite. · Contribute to periodic reports such as production, exposure summaries...

Chubb

into investment decision-making processes, asset allocation, and risk management frameworks. Quantitative modelling and analysis... process. This role requires a strong background in quantitative analysis, data modelling, programming skills, combined...

Just

and interpret regulatory standards (e.g. IRB, IFRS 9) Strong experience building credit risk models, including estimation... of Methodology and will be responsible for the development, monitoring and maintenance of the various quantitative Credit Risk models...

Santander

a fin-tech, investment bank or scale-up. Understanding of financial markets, credit risk management and credit products... interest in cash-flow modelling and investments. You will: Take ownership of deals from origination to closing. Ensure...

Michael Page