Credit Analyst to Shipping
You will be a member of the shipping team, and your initial role will be to assist/support the relationship managers in various customer related activities including project evaluation work, credit analysis and structuring of financial transactions. You will assist with reporting and other internal tasks. Nordic and International Nordea through its Shipping, Offshore and Oil Services Division is one of the world’s leading providers of financial services to the international maritime industry. The London shipping team has 5 employees working dedicated towards shipping customers. Proactive Read more […]
Credit Manager
Position Description Credit Manager position will report into the Managing Director of Wealth Management Credit Risk for the U.S. broker-dealer. This position will be the Deputy Head of Credit and one of three Divisional Credit Managers. Candidate will be responsible for managing a team of credit professionals covering retail clients handled by Financial Advisors (FAs) in the Midwest/Southern Division. Other responsibilities include: managing credit approval and the daily exception monitoring for securities based margin loans, listed options, futures/fx, short market trades and repo transactions. Read more […]
International Credit Risk Analyst
Major Duties: Major duties include the following Performs assigned duties relating to the administration, risk management, and reporting of EMEA credit risk. Participates in the assessment of business and credit arrangements for risk committees. Become subject matter expert on economic and political developments in portfolio of c.12 countries where the bank conducts business. Forecast economic variables and political outlook; formulate country risk and sovereign borrower default rating recommendations; present written reports to the Country Risk Management Committee Working closely Read more […]
Corporate Credit Analyst
The desired individual will have a strong knowledge and understanding of Profit and Loss balance sheets around both small and large corporate and be capable of working with a high volume portfolio The main duties of the role will involve: Reviewing and approving applications for derivative and settlement credit facilities. Regular portfolio risk monitoring and analysis to identify and address developing high risk situations. Providing EMEA front line staff with support and training in processing credit applications and managing credit risk. Further cores skills recquired will include: Training Read more […]
Credit Approval Manager
Responsibilities • Assist in significant asset growth within recommended policies and analyze risk appetite level through practicing solid credit knowledge • Maintain loan incentives according to given budget • Enhance productivity and assure quality outcomes • Coordinate with customer relation teams to improve internal and external policy structures • Establish every audits proposals, and reviews by following regulatory standards Requirements • Degree holder with commercial lending experience • Credit approval background will be an advantage • Able to work under pressure, Read more […]
Business Change Facilitator x 2
The objective of the CBRT programme is to upgrade the credit and market risk functions for the Commercial Bank through the delivery of a datamart and systems providing (1) reliable, timely and comprehensive information; (2) automated streamlined E2E processes; and (3) flexible reporting capabilities. Key Skills/ Qualities Strong advocates of change, understanding the benefits of the system and able to articulate them to colleagues. Ability to be an ambassador of the project to all Colleagues, removing blockers and any myths in their area that exist around CRW. Demonstrate strong leadership Read more […]
Snr Originator & PM for Regulatory Capital Hedge Fund
With over $1 billion across many funds and managed accounts, they now seek a Senior Originator/PM to focus on structuring regulatory capital transactions with banks. Your experience may have been gained at bank proprietary trading and/or portfolio management and research at leading hedge and long-only managers. ESSENTIAL SKILLS EXPERIENCE: Expertise in Regulatory Capital transaction, ABS, Whole Loan, other structured debt. Track record in Origination / Structuring Asset/portfolio sales and unwinds Whole Loan portfolios Experience gained in a Bank’s bad bank/legacy unit Strong Securitisation Read more […]
Market Risk
We are looking for an experienced risk professional in London to join our Rates and Credit Market Risk team to support controlling the Market Risks in the Credit Trading portfolios. In this role you will demonstrate a thorough understanding of the dynamics of financial markets with a focus on the European Credit Flow markets. You will apply your insight into the markets together with your detailed knowledge of the underlying financial market products for the identification, analysis, control and reporting of the market risk exposures in the Investment Bank. The main areas of responsibility within Read more […]
Credit Analyst EMEA
Key Accountabilities: Reviewing and approving branch applications for derivative and settlement credit facilities. Regular portfolio risk monitoring and analysis to identify and address developing high risk situations. Providing EMEA front line staff with support and training in processing credit applications and managing credit risk. Working with all branches within the EMEA region. Core Skills Training and work experience in the area of financial services with emphasis on commercial client risk management. Up to two years related work experience in the financial services industry, ideally Read more […]
Director- Trade Floor risk management-Top Tier global investment bank-London
Front Office Market risk manager | Director Covering Multiple Asset Classes London, UK £110,000-£130,000 base+ Guaranteed Bonus additional benefits Reporting directly into the Head of Risk Top Tier Global Investment bank in London is looking to expand the Market Risk team with a Director level hire covering all asset classes in the Front Office risk groupA leading tier 1 investment bank has recently opened up an exclusive mandate for a director level position covering all asset classes for the front office market risk team. The Director of Market Risk Management will be directly responsible Read more […]