models, risk models, and core infrastructure, enabling pricing, market data, intra-day risk reporting capability.../validating financial markets equities/credit pricing/risk models in an international bank Good knowledge of numerical methods...
1. Customer Onboarding, Data Analysis and Risk Assessments Conduct thorough analysis of revenue, payment history... and credit data to assess prospective and existing customers, including evaluating their creditworthiness and financial health...
Type Regular Contract Length Posting End Date 12/02/2026 Purpose of Job The Analyst contributes to all phases of the project... cycle, including project origination, structuring, execution, implementation and monitoring. The Analyst...
European Bank for Reconstruction & Development Purpose of Job The Analyst contributes to all phases of the project... cycle, including project origination, structuring, execution, implementation and monitoring. The Analyst...
, global financial information services provider, Fitch Group delivers vital credit and risk insights, robust data, and dynamic... is a leading provider of insights, data and analytics. It informs investment strategies, strengthens risk management capabilities...
. balance sheet, RWAs, market risk limits, credit risk limits, LCR and funding costs) Strategy and market timing models e.g.... As a Quantitative Analyst (D) within the CIO Strategy team you will play a pivotal role in designing and implementing advanced...
Valuation Team as Analysts. As an Analyst in our Portfolio Valuation practice, you'll provide a range of valuation advisory... and venture capital funds, credit funds, and special situations funds. Navigating Responsibilities Performance of in-depth...
As a leading, global financial information services provider, Fitch Group delivers vital credit and risk insights..., robust data, and dynamic tools to champion more efficient, transparent financial markets. With over 100 years of experience...
Job Category: Associates Job Description: Job Summary As a Portfolio Manager - Analyst or Associate within the... of a diverse portfolio of asset-backed finance facilities, ensuring robust collateral monitoring, proactive risk management...
services or a regulatory environment and exposure to Consumer Credit Risk, Credit Risk and Market Risk Strong understanding... of BCBS239 principles and their application in risk data aggregation and reporting. Hands-on experience with data lineage tools...
Exciting opportunity for a Compliance Analyst to lead KYC and AML processes, oversee client onboarding, and manage risk... under management The successful Compliance Analyst should have: Degree qualified, with relevant qualifications in risk, compliance...
, historical ratings, as well as issuer default and bond recovery data. Credit Solutions is a business unit within SPGMI Risk... data feed) product management team. RatingsXpress is the flagship data distribution product for S&P Global Ratings' credit...
Primary Details Time Type: Full time Worker Type: Employee Senior Business Performance Analyst 12-Month Paternity... Business Performance Analyst to join our global Automotive Protection business unit. We’re a leader in affinity insurance...
solutions. In-depth research, data analysis, and statistical modelling to derive insights into market trends, pricing, and risk...Join us at Barclays as a VP Quantitative Analyst dedicated specifically to the Equity Derivatives within our Global QA...
of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional... multiple perspectives lead to more informed investment and business decisions. Position Overview This Analyst Role will sit...
of OTC derivatives and/or listed derivatives Experience with regulatory risk and compliance software including data mapping... Reporting Analyst based in Ireland, France, Luxembourg or the UK . Then continue reading Who We Are: AQMetrics is a leading...
two-year Analyst Program. Our Analyst Program is an opportunity to join a rapidly growing alternative credit investment...Arena is a global investment management firm that seeks to generate attractive risk adjusted, consistent...
credit solutions. Based in Mayfair, we operate at the intersection of finance, technology, and credit risk, offering... institution Solid understanding of ABS structuring, SPVs, and credit risk analysis Strong analytical and quantitative skills...
commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. As one of the top..., new systems development, quality assurance and release management. Middle, Risk and Back Office Team...
services and advisory accounts with varying risk tolerances and methods of implementation The candidate will need... such as regional equity tilts, credit rating preferences and currency hedging decisions Communication of investment views and the...