credit portfolio management jobs
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knowledge of modern risk management techniques within Retail Banking,and in the use of risk models, including technical expertise of at least one major area (e.g. Markov chains, impairment models,time?series modelling, stress testing... *Good time, team, project management, and communication (both written and verbal) skills, includingthe ability to lead and motivate others. You will be required to lead Analysts and Senior Analyst in highly structured and dynamic
Requirements: Manager
Contract: Permanent
Jobs similar to "credit portfolio management": junior portfolio credit manager, credit portfolio models manager, sas credit portfolio manager, credit risk portfolio modelling manager
direction and for portfolio policy changes. * Provide strategic recommendations based on observations of key... assigned to this position. No Relocation Available. Qualifications * 5 - 10 years of risk management... or portfolio reporting experience within a large Global Financial Services Organization. * Significant... . * Previous management experience and leadership skills * Self-directed individual with extensive data ETL
Contract: Permanent
Leeds
Salary: £30k - £40k pa + Benefits
SAS Credit Risk Analyst - Portfolio strategies - Leeds - £40k Job title: SAS Credit Risk Analyst... will be responsible for the design and execution of overall portfolio risk management strategy on unsecured portfolios... - Portfolio strategies - Leeds - £40k Location: Leeds Salary: Up to £40k + benefits Keywords: SAS, portfolio... organizations in a role responsible for the design and execution of portfolio strategies. You
Contract: Permanent
This leading banking group is looking for an MI Analyst to join their Credit Portfolio Analytics... criteria are welcomed to apply: Strong familiarity with credit and portfolio data capture and structuring... expert support of credit risk models by providing clean data Main responsibilities will include: Manage... to support the development of advanced credit models Responsible for the default data collection, cleansing
Requirements: Univ opleiding
an understanding of credit risk and portfolio management, including risk appetite setting, credit policy... , commercial and corporate customers in the UK. The Active Portfolio Management Unit (APMU) has been... Portfolio Management Unit (APMU) within the Corporate Banking Division; reporting into Head of Active... in development and implementation of analytical risk measurement tools (preferably portfolio level credit risk
City of London
Company: SEC RecruitmentSalary: £25000 - £39000 per annum
of new business • Producing the key credit governance packs such as Portfolio Quality Review and Loans... Credit Committee • Producing insightful and timely management information to inform Senior Management... Portfolio Monitoring / MI Analyst £25k-39k+ London SQL Excel A high profile leading brand... is looking to add an experienced analyst to their team within Credit Risk. This is a fantastic opportunity
Contract: Permanent
management team responsible for the calculation and reporting of credit risk capital measures. Main duties... which drive credit risk (PD / LGD etc) Stress test the portfolio Perform ad hoc portfolio risk analysis... to apply BSc level degree in numerate subject Knowledge of portfolio credit risk modelling and portfolio... This emerging markets bank is currently looking to hire a Senior Portfolio Analyst portfolio
Requirements: HBO opleiding
Jobs similar to "credit portfolio management": senior credit portfolio management
, commercial and corporate customers in the UK. The Active Portfolio Management Unit (APMU) has been... Portfolio Management Unit (APMU) within the Corporate Banking Division; reporting into Head of Portfolio... plans for the development of active portfolio management • Management of financial and headcount budget... in development and implementation of portfolio management frameworks within a banking financial markets
London, London
Company: Concilium Finance
Global Portfolio Distribution Financial Controller Leading Investment Bank London City £50,000... to products such as credit default swaps and financial guarantees, technical IAS Accounting, including... valuation and credit reserving policy and accounting. The role will also provide exposure to regulatory... and/or management information. You must also have good working knowledge of IFRS and FSA rule book and a knowledge
London Greater London | London Jobs
Company: Concilium FinanceSalary: 50000 - 55000 Per Year
Global Portfolio Distribution Financial Controller – Leading Investment Bank London City £50,000... to products such as credit default swaps and financial guarantees, technical IAS Accounting, including... valuation and credit reserving policy and accounting. The role will also provide exposure to regulatory... and/or management information. You must also have good working knowledge of IFRS and FSA rule book and a knowledge
Contract: Employee