RISK CREDIT RISK PORTFOLIO jobs in United Kingdom #3

Job Description: Credit Portfolio Group (CPG) is one of the key product control groups within the CIB and is mandated.... Specifically, CPG is responsible for developing and executing strategies with the primary goals of reducing credit risk...

JPMorgan Chase

Need: Mandarin and English fluent, Solid credit portfolio management experiences within banking. Climate change risk...’s requirements.: Conduct the climate change risk stress-testing and reporting; Produce the credit portfolio reports to Head Office...

People First

. Analytical work in support of legal entity risk management and deep dives (e.g. portfolio, concentration, and collateral analysis... will build on core understanding of market, counterparty credit, and liquidity risk types and how senior management manages...

Citigroup

processes to track the performance and exposure of our investment portfolio in real-time. Generate regular risk reports..., and other stakeholders to optimize the risk-return profile of our investment portfolio. Provide insights and recommendations to enhance...

Barclay Simpson

together. UK new accounts team’s objective is to define and develop credit risk strategies to drive profitable growth... at acquisition. The incumbent will be responsible for conducting detailed analysis and driving new accounts credit risk strategy...

American Express

with essential anti-money laundering risk advice across high risk industries Job Summary: As an Industry Risk Manager... regarding Anti-money laundering (AML) risks presented by specific High-Risk Industries (Third Party Payment Processors (TPPPs...

JPMorgan Chase

for inclusion in our overall Risk provisions Production and coordination of monthly analysis pack to the Credit & Lending Risk..., Credit Assessment and underwriting Production of supplementary and ad hoc reports as defined by the Risk Manager, Credit...

Volkswagen Financial Services

as first point of escalation on larger deal proposals. Regularly audit the loan portfolio for performance, quality, risk..., and exceptions, and provide policy and procedure recommendations based on findings. Portfolio risk management and performance...

Satago

, Fincrime & Credit Risk appetite, risk monitoring strategies, policies and procedures, deliver them and measure... Identify further fraud and risk models that can be beneficial to improve credit performance across Tide You will working in...

Tide Platform

strong credit and financial risk measurement and decision-support throughout every aspect of our businesses and control functions.... The outputs from Risk Analytics deliver optimal pricing for our customers, quick and convenient credit decisions, a safe...

Allied Irish Banks

and Investigation of breaches Produce risk reporting and analytics and Run enterprise and portfolio stress testing Review and maintain... documentation oversight of liquid products investment activities and market and credit risk control framework consistent with Group...

Phoenix Group

portfolio. This role will focus on retail and corporate credit risk provided expert advice in scorecard methods, internal... be someone with Strong professional interest in the fields of retail and corporate credit risk, scorecard methods, internal ratings-based models, model...

BDO

strong credit and financial risk measurement and decision-support throughout every aspect of our businesses and control functions.... The outputs from Risk Analytics deliver optimal pricing for our customers, quick and convenient credit decisions, a safe...

Allied Irish Banks

portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation risk and liquidity risk... a highly motivated and experienced Valuation and Investment Risk Analyst to join our growing team in London...

Carne Group

and working in conjunction with internal and external partners – Coverage & Portfolio Management, Credit, Legal, Finance, Treasury..., bank and non-bank investors Oversee all aspects of credit risk mitigation deal activity, including origination...

NatWest Group

portfolio of counterparties Evaluate, develop, and implement of risk management strategies, policies, and procedures...Risk Analyst Overview: An excellent opportunity has arisen with a global commodities trading organisation...

Intec Select

on our clients, communities, and employees. Focus is on Emerging Market Credit products. Job Summary: As an Investment Risk Manager.... Conduct daily reviews of risk and pinpoint key areas of concern. Collaborate with Portfolio Managers to scrutinize risk...

Barclay Simpson