CREDIT RISK MODELLING jobs in ENGLAND EUROPE, United Kingdom #5

on financial and executional considerations, Collaborates with the business to ensure strong risk management, seamless execution..., and; Brings a combined finance and operational skillset in understanding the business and managing risk / compliance...

Carlyle

of financial instruments experts that assist our clients with the valuation and modelling of complex financial instruments.... Our quantitative analytics professionals work with hedge funds, private equity funds, credit funds, and corporate finance groups...

Kroll

implementation. The Cash Account Platform (CAP) is a firm-wide, strategic initiative to enhance the risk management, oversight... for senior executives which visualize Cash, Credit, and Collateral balances & activity at the Firmwide, Line of Business...

JPMorgan Chase

. Let us tell you a bit about the opportunity This role is a 6-month fixed term contract. The Senior Credit Risk... Modeller is a second-line role reporting to the Senior Manager – Credit Risk Model Development. The role will be responsible...

Aldermore Bank

that could pose a potential contractual/commercial risk to AtkinsRéalis, as well as identification of opportunities. Leading the... the commercial interest of AtkinsRéalis, including timely and accurate invoicing and effective credit control for optimal...

AtkinsRéalis

with stakeholders across the business including Legal, Risk, Credit Research, Responsible Investing, and Finance, to ensure... cash flows not available elsewhere and c) to provide diversification of access to credit markets. The Debt Origination team...

PIC

the syndicated loan market (both primary and secondary) through fundamental credit research and financial modelling... experience is a plus, but not required Strong financial modelling skills and good understanding of legal documentation...

State Street

. Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance in order... and Exotics as well as Credit Valuation Adjustment (CVA), with main trading arms in London, Houston and Singapore. The role uses...

Citigroup

execution. Being responsible for financial analysis, cash flow modelling and business valuations and/or credit analysis... teams, at all levels, including Risk Management, FM, Compliance teams as well as developing proximity to all other CMA teams...

ING

execution. Being responsible for financial analysis, cash flow modelling and business valuations and/or credit analysis... teams, at all levels, including Risk Management, FM, Compliance teams as well as developing proximity to all other CMA teams...

ING

risk (reputational, operational and credit) in all interactions with clients. Showing a sense of urgency and understanding...About Crowe Crowe is a leading national audit, tax, advisory and risk firm with global reach and local expertise...

Crowe

response to potential threats. Conduct vulnerability assessments to identify and mitigate risks. Perform threat modelling... audits and risk assessments. Participate in compliance-related processes and activities to ensure adherence to regulatory...

artificial.

of Methodology and will be responsible for the development, monitoring and maintenance of the various quantitative Credit Risk models... statistical models in a credit risk / financial environment using a variety of techniques including linear and logistic regression...

Santander

. Knowledge of Attribution modelling, website speed optimisation, A/B testing, conversion management, sales journey optimisation... personnel including Administrators, Credit Controllers, Sales/Purchase Ledger, Accounts, Bookkeepers and Payroll etcCreative...

The Selection Partnership

and advisory accounts with varying risk tolerances and methods of implementation. The candidate will need a strong interest in... such as private equity, infrastructure, property and specialist credit Degree educated (all disciplines considered) IMC and CFA...

Janus Henderson Investors

preferred; Knowledge of financial or credit risk modelling preferred; Proficiency in R language and the creation of shiny... markets (preferably Structured Finance), financial instruments with an emphasis on credit risk modeling are preferred; Basic...

S&P Global

for: Monitoring and managing Interest rate risk; Implementation and ongoing development of the Balance Sheet Management system (full... looking at balance sheet optimisation; Developing financial forecasting and modelling for stress testing, capital and liquidity...

Charity Bank