SENIOR CREDIT RISK MODELLING jobs in United Kingdom #3

complex modelling decisions to senior executives Support the development of market risk management framework on SII... required: Strong capital modelling experience in market or credit risk space within life insurance industry Experience with using Principle...

Emerald Group

and statistical modelling relating to both market and credit risk control models....Senior Risk Analyst Eleven are partnered with a global energy trading business for the recruitment of a Senior Market...

Eleven

Job Description: Position Description The Senior Market Risk Manager will lead the Market Risk team, supporting the... to the Market Risk-specific coverage, the Senior Market Risk Manager will also be expected to be involved in all key risk...

JERA Global Markets

and statistical modelling relating to both market and credit risk control models....Senior Risk Analyst Eleven are partnered with a global energy trading business for the recruitment of a Senior Market...

Eleven

Works with senior colleagues to develop innovative solutions to embed catastrophe modelling approaches into the Bank's risk... with a strong scientific background to join the physical risk modelling team and support the deployment of catastrophe modelling across J.P...

JPMorgan Chase

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world's largest sovereign...

GIC

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world’s largest sovereign...

GIC

maintaining credit quality. What you can expect to be doing: As a Senior Associate, you will conduct due diligence and support..., and credit actions related to modifications or changing risk. You will support the overall lending process on new deals...

HSBC

. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts work with Front Office..., counterparty, industry and macroeconomics. Main Purpose of the Role We are looking for a senior credit analyst to cover...

MUFG Investor Services

, Local Regulators and Senior Management, Credit Committee, Risk Committee, Audit Committee, etc. Conduct post lending... Need: Mandarin and English fluent, Solid credit portfolio management experiences within banking. Climate change risk...

People First

Innovation team – winners of the “Credit Modelling & Risk Team of the Year” at both the 2022 and 2020 Credit Strategy Awards... economic crime and ensure the society is safe and secure. As a Risk Manager Lead, with the support of a Senior Risk manager...

Nationwide

guidance to senior management and work closely with the wider risk, actuarial, investment and finance departments. Key... support of these objectives. Assess the adequacy of financial risk modelling outputs to inform business decisions. Develop...

Merje

guidance to senior management and work closely with the wider risk, actuarial, investment and finance departments. Key... support of these objectives. Assess the adequacy of financial risk modelling outputs to inform business decisions. Develop...

Merje

risk. Hands on experience in credit risk modelling or the valuation of financial products. A master’s degree in Finance... risk modelling experience or the building and / or validating credit risk models obtained from within a bank or a credit...

BDO

(CSG) implements and facilitates the Chief Credit Officer’s (CCrO) responsibilities for credit portfolio risk management... and ensures a robust operating environment to managing credit risk. CSG in EMEA is responsible for: Defining Credit Strategy...

MUFG Investor Services

to senior management through dynamic modelling and forward-looking analytics Provide lending businesses and treasury... particularly with the Treasurer, business credit, operational risk, risk and finance directors and their teams WE WOULD LOVE...

Close Brothers Group

nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades... & Qualifications Significant knowledge and experience of project finance theory, practice, risk analysis, credit, execution...

Adecco