QUANTITATIVE CREDIT AND MARKET jobs in LONDON, United Kingdom #7

attractive Global Bank offering a chance to be part of an excellent new quantitative team. With a need for both Market and Credit... Market reports and Salaries Our Events Career Advice Insights and advice for the legal, risk and compliance community...

Taylor Root

with Market, Quantitative and Credit risk colleagues on cross over activities Develop to become a liquidity risk management..., 134.2 million lots were traded and cleared, equating to $15.2 trillion and 3.1 billion tonnes notional, with a market open interest...

Hong Kong Exchanges and Clearing

development strategy, considering broad market trends towards sustainable investing norms Support the suite of Factor... experience Self-driven with strong motivation to research and innovate on new idea Strong analytical and quantitative skills...

S&P Global

resource for benchmarks and investable indices. Our solutions are widely considered indispensable in tracking market... branded indices such as those for bonds (iBoxx) and credit derivatives (CDX & iTraxx). The Team Focused on developing...

S&P Global

, Ratings Advisory, Credit, and M&A/Coverage. You will be part of a dynamic, challenging, and team-oriented environment in Debt... Advisory and Credit teams Prepare and review pitch books and marketing materials for client meetings Prepare and review...

JPMorgan Chase

strong and resilient. The Counterparty Risk team is a joint venture between Counterparty Credit Risk (CCR) and Market Risk, and the group..., and Africa (EMEA) Legal Entities, Capital Policy, Credit Officers, Quantitative Research and Model Governance teams, Technology...

JPMorgan Chase

: Engage in credit underwriting: Perform client portfolio analysis (including Stress Testing and other ad hoc portfolio... analysis) Perform ad-hoc reviews for prospects and/or any limit modifications that need to be approved by the Credit Committee...

BNY Mellon

their counterparty credit risk, market risk, regulatory risk capital and derivative valuation adjustments. Using the latest analytics... learning about quantitative analytics and perhaps looking to make a career at the intersection of Financial Analytics, Big Data...

S&P Global

and domestic macroeconomic trends, local political dynamics, fundamental research, quantitative modeling, and market technicals... and similar investors, while strategically capitalizing on market dislocations. Conduct thorough analysis incorporating global...

Octavius Finance

Global Client Solutions - Relationship Management focusses on fundraising across all strategies of the firm including credit... record in new idea generation and implementation of insurance friendly asset strategies Strong quantitative modelling skills...

Ares Wealth Management Solutions

classes and model types (derivative pricing models, credit and market risk, capital models, AI models, etc. ) and in line... commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. As one of the top...

MUFG Investor Services

and quantitative analysis with Excel, Bloomberg, and Business Query Perform risk management, attribution, market commentary... our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating...

PIMCO

securities, private equity, private credit, real estate, and middle market lending. A strong candidate will have extensive...) is seeking an Associate to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors credit...

Kroll Bond Rating Agency

, credit, and working capital through seamless integrations and instant credit decisions. Founded in 2011, Kriya has helped... businesses collect over £20 billion in B2B payments, and advanced over £3 billion worth of credit through working capital...

Kriya

and credit review activities using both qualitative credit skills and statistical / quantitative analyses in the evaluation... Financial Analyst Certification). Quantitative skills in the areas of structured finance, credit derivatives, default...

S&P Global

robust relative risk assessment, including sensitivity analysis. Compile industry and market data to identify emerging... trends and assess potential investment opportunities. Remain current on market and industry developments to help frame...

CPP Investments

robust relative risk assessment, including sensitivity analysis. Compile industry and market data to identify emerging... trends and assess potential investment opportunities. Remain current on market and industry developments to help frame...

CPP Investments