REGULATORY CREDIT RISK MODELLING jobs in UNITED KINGDOM, United Kingdom #2

modelling, financial modelling, credit scoring modelling, ROE modelling, prepayment risk modelling, and IRB modelling. Regularly... decisions, effective risk management, and optimization of returns. Through their expertise in financial modelling, pricing...

Investec

and extraction to scrutinise model performance and risk. Providing assurance on compliance with the regulatory requirements we work...Business Unit: Group Risk, Model Risk Management Salary range: £44,000 - £55,000 annum DOE + red-hot benefits...

Virgin Money

nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades... of ISD in administering this complex portfolio, mitigating credit costs / losses and delivering regulatory compliance...

Adecco

credit risk and monitoring the platform exposure by evolving the risk framework and other risk governance items to ensure... book of work. Work closely with Credit Risk Management on the onboarding of new clients, sizing appropriate limits...

Citigroup

validation, as well as UK and European regulatory standards underpinning these areas. Significant credit risk experience gained... risk. Hands on experience in credit risk modelling or the valuation of financial products. A master’s degree in Finance...

BDO

. Job Category Risk Control Target Openings 1 What Is the Opportunity? This role is a newly created, and prominent, role in the... Enterprise Risk Management ('ERM') Team supporting the UK/EU Chief Risk Officers ('CRO') and ERM Senior Actuary. Under general...

The Travelers

products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular assessments of market risk... analytical skills, with proficiency in quantitative analysis, statistical modelling, and risk assessment techniques. - Solid...

Marex

products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular assessments of market risk... analytical skills, with proficiency in quantitative analysis, statistical modelling, and risk assessment techniques. - Solid...

Marex

-specific risk, understanding regulatory changes and determining credit worthiness. Risk Management provides independent... with a strong scientific background to join the physical risk modelling team and support the deployment of catastrophe modelling across J.P...

JPMorgan Chase

and credit risk assessment solutions. The team applies regulatory-compliant and industry best practices for development... Risk knowledge from a credit risk perspective, investing or modelling desirable About S&P Global Market Intelligence...

S&P Global

with departmental requirements. Prepared by: Position: Dated: 5) Risk  Ensure that credit approvals for new transactions...To support the senior banker in execution of transactions, annual and interim credit processes, periodic reviews, CSR...

Crédit Agricole CIB

sources of financial risk (e.g. climate change) drive innovation in the modelling space that have to be managed appropriately...Business Unit: Group Risk, Model Risk Management Salary range: £38,400 - £48,000 per annum DOE + red-hot benefits...

Virgin Money

Bank-wide strategy for Strategic Finance. Being aligned to the Bank's Risk Appetite and being accountable for risk... proposals for credit decisioning, including analysing and interpreting financial information, and assessing management teams...

Virgin Money

of Real Estate, Infrastructure, Global Transportation Group (“GTG”), Private Equity, Private Credit, Liquid Alternatives... cash management, vendor management and investor reporting; Ensure compliance with Luxembourg regulatory requirements...

JPMorgan Chase

developments Solid understanding of credit risk, regulatory and compliance frameworks, as well as ability to address areas... sheet, based on a broad range of assets including trade receivables, credit cards, consumer loans, auto loans and leases...

Santander

classes 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 Services

and products Good analytical and financial modelling and background in cashflow analysis of sub-investment grade corporate credit...’s business strategy and risk appetite. As a Assistant Vice President - M&A and Leveraged Finance, you will be responsible...

Bank of China