VICE PRESIDENT CREDIT ANALYSIS jobs in United Kingdom #2

’s business strategy and risk appetite. As a Assistant Vice President - M&A and Leveraged Finance, you will be responsible... relationships Develop relationships with key Bank relationship financial sponsors Perform credit analysis of existing...

Bank of China

and controls, as well as client responsiveness. Key responsibilities of the group include credit analysis, documentation, risk...Job Background Institutional Credit Management (ICM) group is a critical component of Citi’s first line of defense...

Citigroup

risk and controls, as well as client responsiveness. Key responsibilities of the group include credit analysis... with Credit risk management on getting limits approved Perform daily and weekly risk analysis and reporting on existing client...

Citigroup

commercial, credit and legal negotiations; Knowledge and experience of corporate and sovereign credit risk analysis... preparation of presentation materials; desktop analysis of potential investors; Stakeholder analysis and mapping, identifying key...

MUFG Investor Services

delivers critical regulatory and risk metrics & analytics across risk domains (market, credit, liquidity, operational, capital...) and firm activities via regular reporting, customized risk analysis, systematically generated risk reporting and risk tools...

Goldman Sachs

Management or Risk-taking role in a financial institution Derivative operations, credit analysis, ratings analysis, corporate... will focus on efforts to expand our capabilities to manage counterparty credit risk in ordinary day to day as well as stressed...

Goldman Sachs

analysis or in the financial industry is a must Background in equity or credit is preferred Full stack development or Secdb... where quantitative analysis can provide insights and support decision-making. Key Responsibilities: Collaborate with traders...

Goldman Sachs

ongoing model performance monitoring, including benchmarking, process verification and outcome analysis performed by model... development and/or validation Algorithmic/quantitative/systematic trading strategies, hedge funds, credit risk management...

Goldman Sachs

Job Description: RISK The Risk Division is a team of specialists charged with managing the firm's credit, market... rules. Communicating thoughtful analysis on sophisticated regulatory capital matters to senior managers, businesses, risk...

Goldman Sachs

/import loans, etc.). Trade finance products price sensitivity, understanding of credit risk analysis and international trade...

Intesa Sanpaolo

desks, including Credit and Rates, Foreign Exchange & Treasury, Debt Capital Markets, Securitisation, and Global Investment... Banking. This role involves the monitoring, analysis, and reporting of trading activities to identify potential market abuse...

Barclay Simpson

. We focus on building high-quality, long-term relationships with our clients, who benefit from our excellent credit rating... EM desk and make sure desk is within credit and market limits. To be a conduit between London and other global trading desks...

MUFG Investor Services

, credit and working capital through seamless integrations and instant credit decisions. Founded in 2011, Kriya has helped... businesses collect over £27 billion in B2B payments, and advanced over £3.5 billion worth of credit through working capital...

Kriya

. We focus on building high-quality, long-term relationships with our clients, who benefit from our excellent credit rating.... To accumulate market making revenue. To monitor positions of the EM desk and make sure desk is within credit and market limits...

MUFG Investor Services

and Compliance testing activities Reviews operational risk events to assess and challenge root cause analysis, recurrent themes... credit worthiness. Risk Management provides independent oversight and maintains an effective control environment....

JPMorgan Chase

(CRPF), Credit Portfolio Analysis (CPA) and Credit Solutions Management (CSM). MAIN PURPOSE OF THE ROLE The role... and not exclusive to credit risk, portfolio reporting and Management Information (MI). To provide insights, analysis and support...

MUFG Investor Services

commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. As one of the top... classes and model types (derivative pricing models, credit and market risk, capital models, AI models, etc. ) and in line...

MUFG Investor Services