CREDIT RISK PORTFOLIO REPORTING jobs in EUROPE ENGLAND, 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

credit risk for a portfolio of customer accounts on behalf of EMEA region. It requires a strong ability to make credit... Conduct thorough investigation of price and logistics claims Minimise the risk of bad and doubtful debts through credit...

SC Johnson

Regulatory/discretionary portfolio assessments and its onward governance/risk acceptance, whilst co-ordinating the Risk Function...-quality MI reporting and implementing robust governance procedures and systems. Proficiency in performing risk assurance...

Virgin Money

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 Analyst – Political Risk, Credit & Bond London, UK. AXA XL is seeking a highly motivated, team-oriented... candidate to join its Political Risk, Credit and Bond (PRCB) insurance team in its London, UK office. The candidate...

AXA XL

Risk Projects within EGEM in London. You will be sitting within the Projects & Reporting team, responsible for managing...Job Description: 30194 - SENIOR ANALYST - Market Risk Projects At Eni, we are looking for a Senior Analyst - Market...

Eni

, and reporting of operational, investment, liquidity, credit, and model risk globally. Why this role is important to us The team... and centralization of risk reporting, to execute our digital transformation strategy. You will drive a risk-aware culture throughout the...

State Street

. Highly communicative. People skills. Overview Definition of credit and market risk appetites. Structure and negotiate... Front Office, Finance and/or Risk management. Fluency in English, Spanish is a plus. Expert/Advanced Knowledge...

BBVA

-specific risk, understanding regulatory changes and determining credit worthiness. Risk Management provides independent...Job Description: The Risk Management and Compliance (RM&C) Document Governance team is a firmwide corporate function...

JPMorgan Chase

your skills in portfolio management experience including stress testing, limit setting and management, risk appetite, and good... are proficient in financial and risk reporting as well as experience from the business and/or technical area desired, supports the...

Citigroup

recruiting for our London based Political Risk team (home/office hybrid), working alongside a Portfolio Manager, Senior... and historically profitable Political Risk portfolio that provides Contract Frustration and PRI for traders, financial institutions...

QBE Insurance

indicator, good practices and Governance. Tracking, monitoring and reporting of operations and portfolio. Attention... of relevant experience in a CIB/BEC role, either in Front Office, Finance and/or Risk management. Fluency in English, Spanish...

BBVA

, monitoring and reporting of operations and portfolio. Attention to internal/external audits, as well as Internal Control... or four years of relevant experience in a CIB/BEC role, either in Front Office, Finance or in Risk Management. Fluency in...

BBVA

at the portfolio level (VaR, RWA, etc) 3) create best-in-class risk reports and fully map P&L to risk 4) represent the...In-Business Risk is the risk-management team within Front Office that oversees all risk-taking and trading activities...

Citigroup

as first point of escalation on larger deal proposals. Regularly audit the loan portfolio for performance, quality, risk..., and exceptions, and provide policy and procedure recommendations based on findings. Portfolio risk management and performance...

Satago

financings, as well industry sector acquisition financing, portfolio financing, structured asset financing, subordinated debt... of pitches and credit applications. Responsibility for certain segments of a transaction as delegated by the team leader...

Crédit Agricole CIB

reporting and other requirements related to the application of the bank's sector policies. The portfolio comprises 12 companies... and reporting between the bank's product specialists; Credit Control; RPC; the international coverage network including GCO; FS...

Crédit Agricole CIB