CREDIT INVESTMENT RISK MANAGER jobs in EUROPE ENGLAND, United Kingdom

Credit Investment Risk Manager This is a great job for someone who enjoys working, collaborating and partnering... we’re looking for: Experience working with the Head of Credit & Macro Investment Risk and the Credit Investment Risk...

Aviva

Investment Risk Senior Manager Salary £90,000 - £95,000 Are you an inquisitive and tenacious individual...? Are you interested in how one of the UK’s biggest insurers manages investment risk and makes credit lending/risk decisions...

Aviva

, depending on experience 10 years of risk management experience covering Credit, Counterparty in investment bank/commodities... Risk Monitoring (primary responsibility) Measurement, monitoring and control of credit and counterparty risks on assigned...

ofi

attestation methodology Support the development of a credit risk framework and support the activities required under the... matching adjustment attestation report for committee approval Liaise with various teams (e.g. ALM, Credit Research) to obtain...

Emerald Group

investment bank - trusted advisor, financier and risk manager for our clients on their most important transactions · Build long... Investment Banking clients with advice and services relating to their credit profile, capital structure, financing optimisation...

Goldman Sachs

Credit Group, is an integrated team of 20+ investment professionals based across London and New York. The Private Credit...) Job Description We are looking for a suitable candidate to join the Private Credit Group as an Associate, based in London and part of a sub-team of seven investment...

GIC

Credit Group, is an integrated team of 20+ investment professionals based across London and New York. The Private Credit...) Job Description We are looking for a suitable candidate to join the Private Credit Group as an Associate, based in London and part of a sub-team of seven investment...

GIC

, opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information... attractive risk-adjusted returns for our clients by investing across the entire corporate credit market, from public debt...

Blackstone

, please read on. Role Purpose (-%Role purpose) This role is to undertake a variety of tasks within the Investment Risk Team... and to measure, monitor, analyse and report investment risks (market, liquidity, counterparty credit, leverage, valuation risks...

Local Pensions Partnership

Job Description: About the Role: Grade Level (for internal use): 15 Head of Financial Risk Analytics - Credit... Risk Solutions Responsibilities & Impact: This individual is an experienced Business Leader and General Manager...

S&P Global

Senior Claims Adjuster - Political Risk and Credit Bond – UK &Lloyd’s London, UK At AXA XL we solve today’s complex... and interesting permanent role, where you will manage our UK & Lloyd’s Political Risk claims across multiple jurisdictions...

AXA XL

investment team for other departments (e.g. risk, DB, actuarial) by maintaining relationships with other verticals and building... Mentoring Being a role model to other members of the credit team and the investment team more broadly, through attitudes...

Just

Business Divisions Investment Bank Your role Are you a self-starter who thrives in a fast-paced environment..., Compliance, Market Risk to ensure front-to-back oversight and a robust risk and control environment in Global Markets. Support...

UBS

, partnerships, and client satisfaction. Ensure continued alignment of the credit portfolio with Wealth Management business and risk... Relationship Management, Investment Risk Management, Long Term Planning, People Management, Resource Management, Risk Management...

Royal Bank of Canada

Area: CORPORATE & INVESTMENT BANKING Company: Z01 What are we looking for? Requirements At least eight years... of relevant experience in a CIB/BEC role, either in Front Office, Finance and/or Risk management. Fluency in English, Spanish...

BBVA

We are seeking a highly motivated and experienced Valuation and Investment Risk Specialist to join our growing team in... skills, with the ability to effectively communicate complex valuation and investment risk concepts to both technical and non...

Carne Group

) 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