CREDIT RISK PORTFOLIO REPORTING jobs in LONDON, United Kingdom #3

and Sustainability programs across the Enterprise. Initiation of reporting on transition risk for the credit and investment portfolio..., assessing, measuring, treating, monitoring and reporting on climate risk. Collaboration with key stakeholders in the 1LOD...

Northern Trust

: Engage in credit underwriting: Perform client portfolio analysis (including Stress Testing and other ad hoc portfolio... development of reporting on output of risk management activities. Responsible for creating client exposure and risk/return...

BNY Mellon

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

; Monitor and analyse portfolio risks, including market exposure, credit risk, concentration risk, operational risk, valuation... risk and liquidity risk Manage and execute the valuation assessment of an allocated portfolio of client funds of complex...

Carne Group

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

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

. We provide products and services that include current accounts, credit cards, personal loans and mortgages, as well as savings... of our extensive physical channels portfolio spanning over circa 2,667 branches, 33,959 branch FTE, and 13,040 ATMs & deposit machines...

HSBC

(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

or assignment of project personnel. · Implement project communication plan. · Perform risk assessment and implement mitigation... reporting and documentation. · Continuously benchmark project management performance to identify improvements and achieve...

AVEVA

credit risk of the client portfolio and allocate capital prudently through partnership with senior credit officers...’s Product and Risk partners to deliver the Citi platform and be the best for our clients Being viewed internally and externally...

Citigroup

specified time frames to a high quality and in line with the policies, procedures and objectives of the Bank. 2. Portfolio... Monitoring, Value Creation and Reporting · As requested by the operation leader, undertake assigned tasks relating to the...

European Bank for Reconstruction and Development

specified time frames to a high quality and in line with the policies, procedures and objectives of the Bank. 2. Portfolio... Monitoring, Value Creation and Reporting · As requested by the operation leader, undertake assigned tasks relating to the...

European Bank for Reconstruction and Development

would be beneficial Basic understanding of market and credit risk management of OTC Derivatives would be beneficial An interest in... Services TriResolve Reporting To: Client Services Team Leader triResolve Role Summary: The candidate...

S&P Global

and develop monitoring controls to minimise the risk of fraud to the company and to meet all SOX reporting requirements. Review... clients include many of the world's most recognizable and iconic brands from a broad portfolio of industry sectors. The...

Mediabrands

Analyst is a position based in London, reporting to the Trading Quant Lead within Shell Energy Europe & Africa (SE-EA... a measured risk view to contribute to key commercial decisions. You will be expected to work in close collaboration with the...

Shell

. Sound understanding of credit, market and financial risk, and Life of a Deal. Experience and appreciation of purposeful... Trading integrates a worldwide trading network with an unsurpassed global portfolio in crude oil, refined products, natural...

Shell

to propose and drive improvement and changes. Sound understanding of credit, market and financial risk, and Life of a Deal... for RES B2B sales portfolio, providing interface to Shell Energy Europe & Africa (SE-EA) traders, RES supply and portfolio...

Shell