CREDIT RISK PORTFOLIO REPORTING jobs in EUROPE ENGLAND, United Kingdom #4

portfolio, driving growth, and ensuring the highest standards of customer service and compliance. Key Responsibilities...: Lending Management: Oversee the end-to-end auto finance lending process, including credit assessment, loan approval...

Recruitment Solutions (North West)

requirements Manage all aspects of Risk, including Credit, Operational and Regulatory Develop and maintain active... required propositions and pricing requirements, risk policies and reporting set and managed within appetites Be a role model for the...

Metro Bank

requirements Manage all aspects of Risk, including Credit, Operational and Regulatory Develop and maintain active... required propositions and pricing requirements, risk policies and reporting set and managed within appetites Be a role model for the...

Metro Bank

Analyst to join our established treasury team. Largely focussed on TfL’s debt portfolio, but able to support other areas... also support wider treasury management activities, such as internal controls and compliance, treasury operations and credit...

Transport for London

(ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed..., management, and monitoring for wholesale credit risk across the enterprise. Within ICM, the Credit Underwriting function (ICM-UW...

Citigroup

our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...

PIMCO

. Managing financial risk alongside our various credit functions to ensure customer accounts can trade in line with associated... is what allows us to drive sustained growth. Stronger together, we promote an environment where individuals can thrive. Reporting...

World Fuel Services

the portfolio from both a risk and income perspective. Conduct book review as well as regular monitoring and portfolio..., Marine & Cargo, Aerospace, Cyber, Political Violence, Trade Credit and Property, Contingency and Yacht. Our purpose...

Munich Re

) practice. With ESG considerations continuing to receive greater scrutiny (both in a due diligence as well as in a portfolio... context), we are looking to grow the AMATS ESG team and are looking for an experienced ESG professional who, reporting...

Aon

, opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information... is a creator of commingled and customized investment solutions designed to help investors generate attractive risk-adjusted returns...

Blackstone

reviews to preparing budget proposals, financial planning, budgeting, reforecasting, reporting, performance monitoring..., financial risk management, invoicing/transfers processes and maintaining the integrity of our accounts and policies. The...

International Rescue Committee

compliance with internal and external risk controls and regulatory requirements Notifying and reporting claims notifications... Liability; Crisis Management; Political Risk / Trade Credit; Upstream Energy Experience in Treaty and Aviation...

AIG

you have some of what we are looking for, even if you’re not 100% sure we would love to hear from you. Job Details Taking on a portfolio of change projects, translating... level status reporting for all project milestones, deliverables, dependencies, risks and issues Working creatively...

Hastings Direct

construction and execution processes We’ll look to you to serve as the key contact for risk and compliance matters, ensuring... the oversight of collateral or credit management client trade pooling activities, managing compliance processes...

NatWest Group

month/quarter/fiscal year. Own the analysis of fill rate vs order book reporting and identify product misses and risk... who live their perfectly imperfect lifestyles. Kate Spade New York is part of the Tapestry portfolio - a global house...

Tapestry

of CTI’s initiatives that focuses on balance sheet management , FX and interest rate risk management, funding, and liquidity... management. Business / Team Overview: The Citi Treasury Investments group (CTI) manages over a $500 billion portfolio...

Citigroup

with the sales team to resolve in a timely manner Assess credit risk and advise on credit limits for new customers.... Nomad owns a portfolio of leading brands including Birds Eye, Findus and iglo, supplemented in 2018 with the purchase...

Nomad Foods