REGULATORY CREDIT RISK MODELLING jobs in UNITED KINGDOM, United Kingdom #3

, Compliance, Market and Credit Risk, Audit, Finance Build a culture of responsible finance, good governance and supervision...Citi is looking to hire a Markets Analyst to cover the European Corporates across Investment Grade and Crossover Credit...

Citigroup

Barclay Simpson are pleased to be representing a specialist mortgage bank in their search for a Lead IRB Credit Risk... a suite of models to submit to the PRA as the bank seeks IRB approval. As Lead IRB Credit Risk Modeller you will primarily...

Barclay Simpson

Firm’s approach and policies for managing risk in relevant business and applicable legal and regulatory rules and following... policies Considering and managing risk (reputational, operational and credit) in all interactions with clients Showing...

Crowe

IRB regulation (CRR, PRA, EBA) and interpret these for modelling purposes Substantial experience and knowledge of credit... regulatory self-assessment for IRB; Coordinating responses from various stakeholders on regulatory requirements on IRB topics...

Santander

investment opportunities and assess risk-return profiles. Utilising quantitative analysis and financial modelling techniques... communicate investment strategies, performance updates and risk assessments. Staying updated on regulatory requirements...

Pictet

, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the..., Accounting, and Regulatory Reporting. You will work closely with Finance teams to identify areas of improvement, develop...

Munich Re

and price projections, and performing regulatory and policy analysis. Work towards becoming an expert and 'go-to person' in... readership make better-informed trading, risk management, and investment decisions Responsible for the accurate and timely...

S&P Global

not only by the independent investment processes across the firm, but also the insights, risk management, analytics and other tools...+ professional professionals dedicated to clean energy across equity and credit. Overview of the Role: The Asset Controller...

TIAA

opportunity and risk assessments and 10yr market forecasts Maintain comprehensive project, regulatory and supply and demand... Risk and other Industry Sector analysts across global offices to ensure holistic, cutting-edge analysis and insights...

Fitch Group

pricing, risk rate reviews and standard reserving analyses. Participate in projects and initiatives to improve modelling..., Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the...

Munich Re

experience in: Front office valuation/pricing models, Counterparty Credit Risk, XVA, Market risk, Model Validation, Initial... Margin modelling Solid understanding of EU and UK regulations applicable to OTC derivatives, and associated model risk...

TORA

Senior Credit Risk Modelling Analyst- Yorkshire or North East- Up to £58K! To support Credit Risk team developing... and other business needs. Key Responsibilities: To develop Credit Risk models. To support the wider range of statistical modelling...

Merje

Senior Credit Risk Modelling Analyst- Yorkshire or North East- Up to £58K! To support Credit Risk team developing... and other business needs. Key Responsibilities: To develop Credit Risk models. To support the wider range of statistical modelling...

Merje

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