RISK CREDIT RISK PORTFOLIO jobs in LONDON, United Kingdom #7

on research, data gathering, credit analysis and financial modelling. The Infrastructure Eurasia Team is a leading provider..., procedures and objectives of the Bank. Portfolio Monitoring, Value Creation and Reporting As requested by the operation...

European Bank for Reconstruction and Development

Credit desk (Trading and Sales), part of GBM Global Debt Markets. The Operations team undertake the Closing, Middle Office... duties, and Settlement & Servicing processes for Secondary Loan trades. Segregation from the Private Credit Trading function...

HSBC

Debt management and Credit control for portfolio Regular Invoicing to customers Control of overhead cost allocation... of PPM planners, permit schemes, risk assessments and method statements Financial Duties Financially aware and able...

Integral

. Portfolio Monitoring, Value Creation and Reporting - As requested by the operation leader, a senior banker or a Portfolio... of the project implementation and financial performance of the client; assessing evolving risk factors and monitoring...

European Bank for Reconstruction and Development

involved actively with broader topics, such as portfolio risk appetite and steering, revision of inorganic growth opportunities..., Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose is to inspire our clients and people with the...

Munich Re

. Close co-ordination with Product partners, Transaction Management, Credit Risk management Services (CRMS) and the Documentation... & Trade Services, Risk Management, Corporate Finance, Private Banking, Wealth Management, Capital Markets and Corporate...

Citigroup

on our exciting portfolio of award-winning events. At the end of the Academy, provided you have passed all the relevant assessments... and target-driven. Someone who is ambitious and wants to progress their career. A risk taker: someone who isn’t afraid to weigh...

CloserStill Media

with various internal and external parties, including Debt Capital Markets (DCM), Credit Risk, Loan and Agency Services, Legal... and coordinates pre-closing requirements with internal and external clients (i.e. Debt Capital Markets, Syndicate, Credit Risk, Loan...

JPMorgan Chase

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

PIMCO

7+ years of credit experience in wholesale banking/Buyside or credit risk management Experience in outsourcing... to Senior Management on credit risk management matters and on driving best practices to support safety and soundness in the...

Ares Wealth Management Solutions

. Portfolio Monitoring, Value Creation and Reporting As requested by the operation leader, a senior banker or a Portfolio... of the project implementation and financial performance of the client; assessing evolving risk factors and monitoring...

European Bank for Reconstruction and Development

alongside Product, Marketing & Credit Risk teams to ensure NewDay achieves its commercial objectives. The position includes end... lead across several strategies, including Balance Growth, engagement & retention, and Credit Limit initiatives, working...

NewDay

responsible for a growing portfolio of specialty lines Pilots across multiple classes of business in accordance with the Howden... and underwriting from a cover and rating basis within risk appetite; providing contract certainty, territories, underwriting...

Howden Group Holdings

information. What you will do; Create and maintain analytical tools to support in the management of our risk portfolio.... Develop best in-class models to predict claims outcomes, fraud and other risk KPIs. Engineer powerful new rating factors...

Hastings Direct

specified time frames to a high standard and in line with the policies, procedures and objectives of the Bank. 2. Portfolio...; monitoring of progress of the project implementation and financial performance of the client; assessing evolving risk factors...

European Bank for Reconstruction and Development

production Trade capture for physical commodity & derivative transactions Methods of trading and credit risk mitigation... departments (users, managers and C-level.) Power physical and financial products, trading & risk management, front to back...

NTT Data

Management team is responsible for credit risk management and administration activities for a diverse portfolio of transactions... Portfolio Management team within the European Structured Finance Division in Mizuho bank. Our Project Finance Portfolio...

Mizuho Bank