CREDIT RISK STRATEGY ANALYST jobs in LONDON, United Kingdom #2

Role summary/purpose of job The primary purpose of the Commercial Finance Analyst role will be to work as part of the... development of advisory capabilities. The Commercial Finance Analyst will deliver the global commercial finance business...

Freshfields Bruckhaus Deringer

of prudential credit and counterparty risk and capital numerator concepts Review new and changing requirements and be able... of practical application of market, credit, operational risk is preferred Detail-oriented, proactive in every approach and the...

Bank of America

Pension Insurance Corporation, a specialist UK insurer, is recruiting an Investment Analyst to its Markets Solutions...), government bond and liquidity cash-like portion of PIC’s portfolio. As an Investment Analyst, you will be responsible...

PIC

looking for someone to join our expanding Investment Team as a Senior Investment Actuarial Analyst. In this role you will support the Investment Team... strategy, cashflow matching, short and long term liquidity and large transactions whether asset or liability side, including...

Just

of CTI’s initiatives that focuses on balance sheet management , FX and interest rate risk management, funding, and liquidity... financing to other trading desk, management of the USD interest rate risk in banking book to achieve Citi’s desired net interest...

Citigroup

strategy Ensure trading performance is within agreed risk framework and take required action such as tweaking risk allocation...In-Business Risk is the risk-management team within Front Office that oversees all risk-taking and trading activities...

Citigroup

to ensure accurate reporting and monitoring of market, credit, and operational risk associated with OTC trading products...A multi-asset, strategy Hedge Fund spanning Volatility, Fundamental Equities, Quant, and Macro and Fixed Income...

Selby Jennings

DUAL’s global growth strategy, enabling expansion across all regions via an initial focus on strategic growth initiatives... risk to ensure those risks associated with the change are understood by all stakeholders. Utilises market knowledge...

Howden Group Holdings

with a group of managing directors, directors, VP, associates and analyst. All team members report to the head of the Power EMEA... Team forms part of the global EIG business line. As such it has responsibility for the implementation of the EIG strategy...

Crédit Agricole CIB

with Group Head of Sustainability Strategy; Investor Relations; Group Risk, Compliance, and Treasury to drive our strategic... delivery of the Group sustainability strategy (our Positive Impact Plan) through your ESG and/or financial reporting expertise...

Flutter International

, credit checks, billing and collections Ensuring firm-wide purchasing excellent and efficiency Financial reporting, budgets.... Strong in project management and systemic thinking. Demonstrated ability to assess risk and take decisive, appropriate actions...

Baker McKenzie

, our analyst-driven credit ratings, research, and sustainable finance opinions provide critical insights that are essential... is responsible for the end-to-end operational management and continued improvement of our practices and strategy to deliver high...

S&P Global

with indefinite right to work in the United States. About S&P Global Ratings At S&P Global Ratings, our analyst-driven credit... accountability for the outcomes, governance of value realization, and responsibility for the long-term strategy and prioritization...

S&P Global