SENIOR MANAGER CREDIT RISK jobs in LONDON, United Kingdom #2

Payments and Lending Credit Strategy and Operations team is looking for a Sr. Portfolio Manager to join the B2B Payments team... into details, identifying root cause and propose solutions Experience in credit analysis and credit risk management for financial services...

Amazon

information is available at It starts here. Have a global impact on the world of payments. As a Senior Credit Underwriter... and credit risk exposure Researching unusual situations and activity by internal means such as: chargeback review, authorization...

Paysafe

Ceded Reinsurance – Senior Credit Controller London/Working Remotely This role resides within the Ceded Reinsurance... You will report to – Ceded Re Technical Accounting Global Senior Manager Qualifications SHARE your talent We’re...

AXA XL

framework. The Credit Control Manager will lead on the mitigation of credit control risk and will work effectively with senior...Global Organisation seeks an experienced Credit Control Manager to take control of the Credit Control function, the...

KennedyPearce Consulting

. Job Description Summary: PayPal is seeking a dynamic, innovative, and driven Credit Compliance Manager to join our high-performing UK Risk.... It will focus on ensuring regulatory compliance along with the development and implementation of the Credit Risk...

PayPal

. As we expand our capabilities in model risk management, we're seeking a Model Risk Manager with a keen interest in data analytics... to providing key insights on material models to senior management and the Board Risk & Compliance Committee Identifying areas...

Revolut

Title: Assistant VP Portfolio Risk Manager Finance Location: London Duration: 18 months Hybrid: 3 days in the... nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades...

Adecco

Role Summary: Our client, a leading international group, is seeking a Senior Treasury Risk Manager... reporting for currency, commodities, rates, and credit risk. Deliver insights to the group and its businesses. Working...

Barclay Simpson

DESCRIPTION We are looking for an experienced financial services Risk Manager, with a preferred focus on insurance... distribution or credit broking and related products. Sitting in the second line of defence Risk team, the Insurance Products Risk...

Amazon

Enterprise Risk Management ('ERM') Team supporting the UK/EU Chief Risk Officers ('CRO') and ERM Senior Actuary. Under general... and consistently applying the RMF including the Capital Model and its uses and limitations. The Risk Manager provides advice...

The Travelers

, one piece of software at a time. The Risk Manager position is a hands-on, high impact role that will require experience in... Enterprise risk management, specifically in the financial services industry. The risk manager will be responsible for the...

Blockchain.com

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

particularly with the Treasurer, business credit, operational risk, risk and finance directors and their teams WE WOULD LOVE... you balance your work and home life. This role leads the Asset & Liability Management Risk (‘ALM Risk’) team and covers...

Close Brothers Group

to promote an optimal risk / return on the banks’ lending and trading opportunities. Credit analysis is a 40+ team organised... into 5 sector teams. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts...

MUFG Investor Services

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

. 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