CREDIT RISK MODELLING jobs in ENGLAND EUROPE, United Kingdom #3

. 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

This is a great opportunity if you are seeking to develop a broad understanding of IFRS9 credit risk provisions..., and work with a range of colleagues in Modelling, Finance, and Portfolio Risk teams. With the support of existing specialists...

Nationwide

Innovation team – winners of the “Credit Modelling & Risk Team of the Year” at both the 2022 and 2020 Credit Strategy Awards... statistical techniques across Credit Risk, Economic Crime and Collections & Recoveries. You’ll also be leading a hybrid working...

Nationwide

The Unsecured Credit Risk Team is responsible for managing the Credit Risk of the Society’s Unsecured portfolios... Accounts and providing specialist credit risk advice to the business. You should be comfortable working on and leading a wide...

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

% sure we would love to hear from you. Job Details Support the Chief Risk Officer (‘CRO’) in ensuring that Hastings... potential in line with the 3-year plan objectives. Leading a team of Subject Matter Experts (‘SME’) across disciplines of risk...

Hastings Direct

for Treasury activities; - the ongoing oversight and management of the portfolio, market risk, portfolio credit risk modelling..., Corporate and Project Finance and Country and FI Credit Risk Management, Equity Risk Management, Corporate Recovery, Climate...

European Bank for Reconstruction and Development

for Treasury activities; the ongoing oversight and management of the portfolio, market risk, portfolio credit risk modelling..., Corporate and Project Finance and Country and FI Credit Risk Management, Equity Risk Management, Corporate Recovery, Climate...

European Bank for Reconstruction and Development

key drivers of loss and mechanisms for optimising risk and reward. Knowledge of credit risk modelling techniques... Regulation Authority, ExCo, Model Governance Committee, Retail Credit Committee and Board Risk Committee, tailoring the approach...

Marks Sattin

risk modelling), capital (required) & liquidity (preferred) requirements calculation, external benchmarking Experience.... For everyone, everywhere. More about Job Description The Stress Testing & Prudential Risk Lead role is pivotal within Wise. It is critical to ensure we understand and can...

Wise

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

of financial risk modelling outputs to inform business decisions. Developing and maintaining effective relationships... Insurer in their search for a Head of Financial Risk. In this role you will lead the Financial Risk area of the Risk...

Merje

risk modelling outputs to inform business decisions. ·Developing and maintaining effective relationships... implications. ·Advise on risk mitigation strategies and implementation across insurance risk, market risk, counterparty credit...

Broadgate Staffing

support of these objectives. Assess the adequacy of financial risk modelling outputs to inform business decisions. Develop... financial risk professional to join the firm as Head of Financial Risk. Reporting to the Chief Risk Officer, this will be a key...

Merje

required: Strong capital modelling experience in market or credit risk space within life insurance industry Experience with using Principle... complex modelling decisions to senior executives Support the development of market risk management framework on SII...

Emerald Group

and statistical modelling relating to both market and credit risk control models....Senior Risk Analyst Eleven are partnered with a global energy trading business for the recruitment of a Senior Market...

Eleven

primarily carrying out the junior functions within deal- teams - typically financial analysis, financial modelling, preparation... of pitches and credit applications. Responsibility for certain segments of a transaction as delegated by the team leader...

Crédit Agricole CIB