Abteilungsleiter/in Vertriebsentwicklung
Unseren Kunden bieten wir kompetente und persönliche Beratung, moderne und zuverlässige Finanzprodukte sowie faire Lösungen in allen Geldfragen. An zentralen Standorten sind wir mit den Spezialberatungsbereichen Private Banking/Vermögensmanagement, FirmenkundenCenter und ImmobilienCenter präsent. Als aktives und leistungsstarkes Kreditinstitut setzen wir uns für die Region ein, mit der wir geschäftlich wie auch gesellschaftlich eng verbunden sind. Sitze der Sparkasse sind Ahaus und Dülmen. Weitere Hauptstellen befinden sich in Borken, Coesfeld und Lüdinghausen.Wir suchen zum nächstmöglichen Read more […]
AVP-Credit Risk
• Ensure compliance, operational risk controls in accordance with regulatory standards and policies; and optimize relations with regulators by addressing any issues. • Risk analysis and monitoring • Regulated Fund portfolio reporting • Interface with sales/trading, and Relationship Management • Negotiation of credit terms in documents, in conjunction with the Documentation team • Make credit recommendations based on analysis of counterparty information as to risk rating, limit size, margin and legal document terms Observation of Internal Controls • Maintain internal control standards, Read more […]
Credit Risk Portfolio Manager
The Associate’s primary responsibility will be supporting our client’s investment grade lending business. Critical functions include: * Assessing risk factors with a credit and determining appropriate * Active credit management of a designated portfolio utilizing solid credit and analytical skills * Provide continuous oversight of portfolio names monitoring for potential upgrading, downsizing and credit deterioration with the goal of maximizing net income and reducing credit costs.Breakdown: * 70% Portfolio Management * 15% Credit Underwriting * 15% Other* Bachelor’s degree * MBA or CFA preferred * Read more […]
Global Financial Institutions – Credit Analyst
Wells Fargo Company is a diversified financial services company providing banking, insurance, investments, mortgage, and consumer and commercial finance. We’re headquartered in San Francisco, California, with offices from coast to coast in the U.S. and overseas — and strategic relationships with more than 3,000 banks around the world. Our international division truly spans the globe, with a combined workforce of more than 2,700 dedicated team members and more than 30 overseas offices. Through our coast-to-coast U.S. presence, overseas offices in strategic Locations, and technology platforms, Read more […]
FI”s Credit Analyst Temp-Perm
Key Roles Responsibilities p pPreparation of annual reviews for financial Institutions; Managing and supporting the credit approval process throughout the chain. p pUndertake forward-looking credit analysis and assign credit ratings to Banks and Non-Banks (Broker Dealers, Fund Managers, DO, Inbound Banks, Funds and Insurances). p pWork closely with other business units within especially Global Account Managers and Financial Institutions Risk p pAdd value through proactive monitoring of portfolio, industry trends and financial sectors; understand sovereign developments and Read more […]
Project Finance Associate / AD
The successful candidate will be responsible for the identification and execution of Structured Finance transactions in Transport and Energy across Central Europe. The role will involve:- Screening potential projects and identifying opportunities- Appraisal of the creditworthiness of potential projects- Undertaking financial and risk analysis, drafting lending proposals- Leading and co-ordinating the negotiation process- Negotiating terms and conditions of project documentation- Monitoring project implementation- Negotiating eventual restructurings and/or contractual modifications as appropriate Read more […]
VP – Credit Analyst Sub-Sovereign
Sub-Sovereign research services is used by the Company’s clients to help assess credit risk in these p markets. Sub-Sovereign research also includes key statistical data and peer group analysis. The group’s approach allows market participants to benefit from a globally consistent and transparent methodological approach to assessing credit risk. p pResponsibilities: pConduct research on a portfolio of UK sub-sovereign entities with a main focus on Housing Associations. Maintain strategic relationships with investors, issuers, advisors. pProduce high quality credit analysis, lead rating committee Read more […]
Credit Analyst
Our client is a leading financial institution who are now looking for a talented and highly motivated experienced analyst to work within the RMBS Surveillance Group. This role is ideal for candidates with a credit analysis background and large exposure to the securitisation sector. The Structured Finance Group reviews a wide range of securitisation structures comprising mortgage and asset-backed securities, collateralised debt obligations, credit derivatives, asset-backed commercial paper, and repackaged bond transactions.Responsibilities: Be responsible for the surveillance of RMBS portfolio.Analyse Read more […]
Credit Partner
Outline: p pAs a Credit Partner you will take full responsibility of your assigned credit portfolio which will include understanding their credit requirements and becoming their advocate when presenting their applications to an internal approval committee. p pConsidering the level of this role, you will need to have exceptional communication and client-facing skills as well as an ability to build strategic relationships with key stakeholders. p pAs a Credit Partner your skills and qualifications will ideally include: p pClear demonstrable experience in a credit analysis role covering a portfolio Read more […]
Front Office Market Risk Manager – CVA – AVP
Excellent opportunity to join a market leading Tier 1 Investment Bank working in the Front Office supporting the Traded Credit Business.The role is for an AVP level Market Risk Manager with exposure to Counterparty Risk / CVA / Credit Derivatives and an excellent understanding of Market Risk.The role includes the Market Risk duties expected, such as VaR Analysis, Limits Monitoring, Stress-Testing, Trade Approval, non-VaR Analysis of positions etc.Requirements- Strong Market Risk knowledge- Experience of dealing with CVA or Counterparty Risk Trading or Credit Derivatives- MSc in Quantitative subjects Read more […]