CREDIT INVESTMENT RISK MANAGER jobs in ENGLAND EUROPE, United Kingdom #2

) such as the performance, attribution, exposure and risk metrics of the sub-fund/portfolio. About You We’d like our Investment...Permanent – Full Time Here at Border to Coast, we are looking for an Investment Analyst to assist the Investment Team...

Border to Coast

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions · Build long... firm including Investment Banking Coverage and Industry Groups, Credit, Capital Markets, Research, amongst others teams...

Goldman Sachs

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions Build long... desk Credit Risk Management Legal & Derivatives Documentation Group HOW YOU WILL FULFILL YOUR POTENTIAL The...

Goldman Sachs

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions Build long... desk Credit Risk Management Legal & Derivatives Documentation Group HOW YOU WILL FULFILL YOUR POTENTIAL The Analyst...

Goldman Sachs

portfolio or the investment process for insuring new liabilities and trade support. Effectively collaborates with Public Credit...Pension Insurance Corporation, a specialist UK insurer, is recruiting an Investment Analyst to its Markets Solutions...

PIC

. Analyse and assess credit risk, market conditions, and investment viability. Financial Modelling and Analysis: Develop...A leading investment manager with over $50bn AUM are looking for an Associate with 2-4 years experience...

Selby Jennings

risk… June 11, 2024 Ref: 37545 We are partnered with a global investment manager as they organically grow their private... and Portfolio Committees to approve transactions. Take ownership of all of credit risk policies and ensure (1) regular review...

Bruin Financial

We are partnered with a global investment manager as they organically grow their private debt business. The role of the... senior credit risk analyst is to provide oversight on new origination and and existing infrastructure portfolios...

Bruin Financial

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

. Each credit analyst is responsible for managing risk exposure across an EMEA wide portfolio. Analysts work with Front Office... end results. Actively monitoring assigned portfolio of IG and NIG corporates for potential changes in credit risk. Assign...

MUFG Investor Services

closely with the wider risk, actuarial, investment and finance departments. This role is subject to the Senior Managers... Insurer in their search for a Head of Financial Risk. In this role you will lead the Financial Risk area of the Risk...

Merje

and services, including consumer banking and credit, corporate and investment banking, securities brokerage, transaction services...Senior Business Analysis Manager (Market Control, Valuation Control), London – SVP (Hybrid) Overview Citi...

Citigroup

new business opportunities with the goal of enabling the customer to maximise value from their Mambu investment.... You will be responsible for driving adoption and usage of Mambu at the customer, stakeholder alignment, and risk mitigation by working in...

Mambu

Job Description: We have an exciting opportunity for an Interim Finance Manager based in Central Bristol. This role... Job Title: Interim Finance Manager (Charity Sector) Rate: £250 per day Duration: 2-4 months Location: Central Bristol (Hybrid...

Robert Half

Management, Corporate Loan Management (CLM) and Independent Risk, for credit line set up and availment, ensuring that approvals...This new and exciting role is based in London and has come about following Citi’s ongoing commitment and investment...

Citigroup

Operations Manager, Dudley, up to £45k + Bonus + Benefits My client is a leading and independent steel supplier based... and is positioned to help define, drive, and deliver huge growth for the company in the coming years. The Operations Manager...

The Selection Partnership

management firm with c. €31 billion in assets under management. Hayfin focuses on delivering attractive risk-adjusted returns... for its investors across its private debt, liquid credit and private equity solutions businesses. Hayfin has a diverse international...

Hayfin Capital Management