RISK MANAGEMENT WHOLESALE CREDIT jobs in UNITED STATES, United Kingdom #7

Risk management. This includes an understanding of the Wholesale Credit portfolios and businesses, the risk rating process..., proactive, and entrepreneurial manor. Qualifications & skills: · 10+ years’ experience in Wholesale Credit Risk Management...

Citigroup

/facilitate product discussions with partners in asset distribution, legal, credit risk, operations, and systems capabilities... for structured and wholesale products. Quarterly Portfolio Review (QPR) of structured finance deals with senior management...

Citigroup

best returns potential. Finally, it is responsible for wholesale credit and counterparty risk processes for the firm, managed... Risk Manager accomplishes results through the management of professional team(s) and department(s). Integrates subject...

Citigroup

, Enterprise Technology, Finance, Government Affairs and Legal Team, Human Resources, Risk Management Organization, Wholesale... management experience in financial services or related field. Broad risk and regulatory knowledge with an emphasis on: Credit...

Truist

explains, and sensitivity analysis across all risk pools, including wholesale, counterparty credit risk, retail, and market... discipline. 2+ years of working experiences in management consulting, risk management with financial institutions. Experience...

Citigroup

and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products... modeling sensitivities, and risk / reward tradeoffs and help make credit recommendations regarding credit approvals...

Scotiabank

and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products... modeling sensitivities, and risk / reward tradeoffs and help make credit recommendations regarding credit approvals...

Scotiabank

, Government Affairs and Legal Team, Human Resources, Wholesale area. Lead a team of risk professionals to effectively deliver... and monitor the responsibilities related to business/GCO adherence to enterprise risk management (ERM) programs. Execute...

Truist

of contact for both internal and external audit and the FCA on remediation status. 16. Works with TDI management to develop an ongoing risk...Job Description Leads the relationship between the Internal Controls and Operational Risk (ICOR) team and the...

CoBank

(primarily non-U.S. entities). Management reporting of the risk profiles and ongoing evolution thereof will be required. The... of this role will be on the U.S. broker dealer and U.S. swap dealer. The candidate should have a strong risk management...

Sumitomo Mitsui Banking Corporation

risk management, big data, mobile and more. We look for creative collaborators who evolve, adapt to change and thrive in... Expected Credit Loss (CECL), and internal credit ratings modeling. Role Overview: As a Wholesale Modeler, you will play...

Goldman Sachs

Expected Credit Loss (CECL), Comprehensive Stress Testing, Risk Adjusted Return on Capital (RAROC), and Model Risk Management... business insights. 6. Assists in the design of department/system processes for Risk Management that are efficient and comply...

CoBank

spectrum of wholesale credit risk topics, analyze internal reports, facilitate discussions with institution management, review... work experience in wholesale credit risk management and capital planning and positions at a regulatory agency, large...

Federal Reserve Bank

derivative and repo transactions Working knowledge of counterparty credit risk management - including collateral management... engagements include process improvement, operating model design and implementation, risk assessment and management, and controls...

Deloitte

. is seeking a SVP-Terrorism/Political Risk About the role: DUAL Crisis Management, a division of DUAL North America, Inc.... is seeking a Senior Underwriting Leader to develop a standalone Terrorism, Political Risk, and Trade Credit portfolio...

Howden Group Holdings

as well as the strategic management of risk capital across these activities, notably the trading & portfolio management activities... analytical, market insight and strategy support focused on evaluating various risk management strategies and optimizing Profit...

Engie

and validate models/quantitative frameworks spanning credit, interest rate, market risk, economic capital or capital market... to model developers, senior management and the appropriate risk committee. Keep abreast of the latest quantitative strategies...

Huntington National Bank