... institution's approach to managing model risk effectively. Duties: Conduct independent ... Bachelors degree in Quantitative Finance, Risk Management, Actuarial Science, or related ... understanding of credit and market risk modelling, regulatory expectations, and ...
28 days ago
... Description: Product Risk Analyst Reporting to: Risk Management As a Product Risk Analyst, ... effectively with London Risk Managers, senior risk management, and Traders ... proactively communicate with London Risk Managers, senior risk management, and Traders ...
28 days ago
... institution's approach to managing model risk effectively. Duties: Conduct independent ... Bachelors degree in Quantitative Finance, Risk Management, Actuarial Science, or related ... understanding of credit and market risk modelling, regulatory expectations, and ...
a month ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... effectiveness and to better manage risks Requirements: Develop marketing data and ... effectiveness and to better manage risks Web Analytics: 10 years or ...
6 days ago
... Key Responsibilities Design and implement risk and compliance frameworks across e-commerce ... services platforms Lead third-party risk assessment and compliance processes ... , fraud prevention, and operational risk Familiarity with regulatory bodies and ...
10 days ago
... movements daily. Challenging and refining risk capture and reporting processes. Collaborating ... Bring: A passion for markets and risk management within a trading environment. ... in product control, market risk, or trading risk management. Strong Excel skills ...
17 days ago
... movements daily. Challenging and refining risk capture and reporting processes. Collaborating ... bring: A passion for markets and risk management within a trading environment. ... in product control, market risk, or trading risk management. Strong Excel skills ...
17 days ago
... financial analysis, industry and country risk evaluations, and qualitative reviews of ... present detailed credit proposals and risk opinions to senior stakeholders. ... with trade finance instruments and risk mitigation techniques. Experience in international ...
28 days ago
... , implementing, evolving, and communicating risk reports. Collaborate effectively with the ... , ideally in Finance or Risk Management). Postgraduate qualifications in ... Finance or Risk Management are advantageous. Experience & ...
a month ago
... calibration, and validation of credit risk models (PD, EAD, LGD ... IFRS 9 and Basel-aligned risk models. Develop advanced portfolio ... of hands-on credit risk modelling experience in banking ... VBA). Experience in retail credit risk preferred.Leadership & Soft Skills: ...
23 hours ago
... Treasury, Regulatory, and Financial Risk. You'll play a pivotal ... cross-functional, large-scale risk engagements Bring complex regulatory ... in Treasury / Liquidity Risk Strong grasp of LCR, ... strategy A background in risk/finance/actuarial/stats/economics Bonus ...
a day ago
... advisory team delivering innovative credit risk, financial modelling, and regulatory ... Responsibilities: Build and calibrate credit risk models Validate, test, and monitor ... similar 5-8 years experience in credit risk - banking, consulting, or related ...
a day ago
... , calibrating, and validating IFRS 9 credit risk models Leading projects across regulatory ... Engaging with clients to define risk strategy, frameworks, nnd appetite ... , R, VBA, or Matlab Retail credit risk experience (preferred) Excellent communication and ...
7 days ago