CREDIT RISK MODELLING MANAGER jobs in UNITED KINGDOM ENGLAND, United Kingdom

Description Credit Risk Modelling Manager - J12803 - up to £72,000 London/Hybrid Encompassing skills... Credit Risk projects inc. acquisition due diligence, stress testing and Quality Reviews Leading a small team of modelling...

Datatech Analytics

Description Credit Risk Modelling Manager - J12780 - up to £57K plus sign on - Manchester or Leeds/Hybrid... Encompassing skills across regulation and finance with a deep analytics capability. As a member of the Credit Risk Analytics team...

Datatech Analytics

Assistant Manager, Credit Risk Analytics and Modelling, Audit & Assurance Connect to your Industry Our Assurance... As a member of the Credit Risk Analytics team, your role will include: Helping our clients improve and develop their credit...

Deloitte

how and where it matters most. Connect to your opportunity As a member of the Credit Risk Analytics team, your role will include... approaches across the full range of credit asset classes. Providing credit measurement modelling and analytics services...

Deloitte

Credit Risk Modelling Manager A Yorkshire based Client are on the search for a Credit Risk Modelling Manager... Balance Sheet Management Models Product Pricing Models Market and Liquidity Risk Management models Plus other models...

Merje

, accountable for the management of credit risk for Shell Energy UK. Reporting directly into the Commercial Director, the role.... You will get the opportunity to apply your expertise in credit risk and deliver credit risk management improvements...

Shell

and well-being. About the team You will work in the Analytical & Scoring Model Review team within Credit Risk which is a team... of 11 (Credit Risk department consists of c.70 FTE), working on multiple priorities within a fast-paced, dynamic environment...

The Very Group

modelling of credit and other stresses in conjunction with the Bank's Risk team. Work with CFO, FP&A Director and other senior... future. The successful candidate will report to the FP&A Manager and work closely with Risk, Finance and Product teams...

Zopa

Available if you are UK based. Quant Capital is urgently looking for a Credit Risk Manager to join our high profile client. My Client... and take on a challenging role which will give you excellent exposure and experience in the credit modelling space. Day to Day the Credit Risk...

Quant Capital

credit modelling space. Day to Day the Credit Risk Manager will: Build out a new set of credit models Work across the... is urgently looking for a Credit Risk Manager to join our high profile client. My Client is a well known global (yet not too...

Quant Capital

Innovation team – winners of the “Credit Modelling & Risk Team of the Year” at both the 2022 and 2020 Credit Strategy Awards...A fantastic opportunity has become available as a Risk Manager Lead in our thriving Risk Decision Science & Analytical...

Nationwide

This is a great opportunity for a Risk Manager Lead to join our Unsecured Credit Risk team responsible for managing the... credit risk of the Society’s Unsecured portfolios, which includes designing effective new lending strategies, managing the...

Nationwide

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

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

. 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

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