SENIOR CREDIT RISK STRATEGY jobs in UNITED KINGDOM ENGLAND, United Kingdom #2

, partnerships, and client satisfaction. Ensure continued alignment of the credit portfolio with Wealth Management business and risk... strategies and risk policies and procedures. Actively participate in and contribute to strategy development. Work...

Royal Bank of Canada

The Unsecured Credit Risk Team is responsible for managing the Credit Risk of the Society’s Unsecured portfolios... Accounts and providing specialist credit risk advice to the business. You should be comfortable working on and leading a wide...

Nationwide

Primary Details Time Type: Full time Worker Type: Employee Senior Underwriter – Political Risk We are currently... recruiting for our London based Political Risk team (home/office hybrid), working alongside a Portfolio Manager, Senior...

QBE Insurance

of products. The candidate will be a key member of Credit and Price Risk Execution in Citi Global Markets. Markets Credit... and Price Risk Execution is mandated to establish and maintain a robust first line of defense designed to minimize risk...

Citigroup

and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, About out...About the Business LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business...

LexisNexis

and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, About out...About the Business LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business...

RELX

confidence and freedom to explore, create and build - to enable people and businesses to thrive. Senior Conduct Risk Analyst... / policyholders. Understand all appropriate lines of escalation and the responsibilities of the Product Conduct Risk Strategy Group...

Munich Re

Investment Risk Senior Manager Salary £90,000 - £95,000 Are you an inquisitive and tenacious individual...? Are you interested in how one of the UK’s biggest insurers manages investment risk and makes credit lending/risk decisions...

Aviva

. What you will be doing Work with Head of Credit Risk and other key stakeholders to develop and implement an effective fraud strategy...Job Description: Your Role The Fraud Strategy Manager is critical in maintaining the profitability and compliance...

Boohoo

and minimising credit risk. Depending on experience the Senior Credit Controller can expect a salary between of £35,000 per annum... a Senior Credit Controller to join their team. As the Senior Credit Controller, you will be responsible for overseeing...

Gleeson Recruitment Group

relationships, maintaining a keen focus on risk appetite and strategy.  Actively participates in client meetings, adapting....  Ensure effective collaboration between teams including Branch/Relationship managers and Risk Management.  Liaises...

Randstad

’s risk appetite, while providing assurance of consistent and disciplined credit underwriting in line with risk appetite..., as well as shaping and challenging product and asset class risk appetite Assess and sanction highly complex credit applications using...

NatWest Group

. Analyse and assess credit risk, market conditions, and investment viability. Financial Modelling and Analysis: Develop... for senior management and investors. Market Research and Strategy: Conduct ongoing market research to stay informed...

Selby Jennings

credit risk management and decisioning capabilities. This is achieved through transforming our case management and referral... risk management, utilising market leading technology and new data sources. The Commercial Credit Decisioning Lab...

Lloyds Banking Group

group are the Global and Regional Group Heads GCOs are regularly part of credit strategy discussions at Fitch Ratings...Global Group Credit Officer for Structured Finance & Covered Bonds - CPG The Credit Policy Group (CPG) works in...

Fitch Group

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world's largest sovereign...

GIC

process for co-investments offered by our credit fund managers. This will involve evaluating key risk/return drivers, market...Associate, Private Credit Group - Funds, Co-investments & Secondaries GIC is one of the world’s largest sovereign...

GIC