Credit Risk – Consultants – 95k – Based anywhere in Europe recruitment
My client, a world leading consulting firm, is going through its next period if global expansion with a new global director on Board. They are an acknowledged leader in the retail space but is now leveraging their Tier 1 relationships to grow their Wholesale/SME coverage due to global client requests. I am working with them to hire a number of Consultants who have a focus on Credit Risk in areas such as Basel PD/LGD/EAD Models, Capital Management including stress tests, ICAAP and Basel III Capital levels and Credit Approval/Sanctioning in a Tier 1 bank or a Consulting firm (ie Big 4, OW or a ratings Read more […]
Business Analyst: Position & Risk Management recruitment
With a Turnover of US$ 79 billion in 2010 we operate from offices in 44 countries across the globe trading over 2 million barrels a day of crude and oil products and over 9 million tons of concentrates and refined metals per annum. Physical trading is a long-term business and investment in and access to key physical assets around the world is central to our business model. Management of ships, storage tanks, mines and other logistical assets gives us a business advantage while demonstrating our commitment to the territories in which we operate.Main PurposeTrafigura is committed to building and Read more […]
Model Monitoring recruitment
This role will work closely with other members of the team to develop and improve the existing backtesting of the portfolio. Major functions of the role are:: Working with partners in Derivatives Counterparty Exposure Management (DCEM), Quantitative Analytics (QA) and IT to redesign and implement a new backtesting reporting process that will be fit for transition into Basel III. Identify and fix data quality issues Agree with stakeholders and implement a Basel III compliant template for presenting the results at key governance committees. Any other tasks as required in support of CRR Basel III Read more […]
C&R Conduct Risk Manager recruitment
Join Santander and you”ll become a vital part of a business built on the outstanding service provided to our customers, as well as the award-winning products we offer. We”re one of the fastest growing banks in the UK and that is down to our people. And we recognise that as we help you develop your career you”ll be doing the same for our business. Collections and Recoveries (CR) is about a lot more than debt collection! It is one of the banks most critical areas with a huge impact on the customer satisfaction, reputation and our PL. At Santander, the CR team are responsible for setting policies Read more […]
Assistant Assurance Manager, Group AML recruitment
Group Risk is an independent function responsible for ensuring there is an appropriate risk governance framework on a Group wide and divisional basis, and that day-to-day risks are managed effectively within this framework. The management of risk is a fundamental activity which underpins the Group’s reputation, performance and future success. Our specialist teams are; Credit Risk, Market and Insurance Risk, Regulatory and Operational Risk, and Risk Infrastructure and Analytics. The Anti Money Laundering (AML) function is responsible for the provision of reactive and proactive advice to Read more […]
> Senior Quantitative Risk Modelling – Investment Bank < recruitment
You will interact frequently with be responsible for a small team of risk modelling quants working on improvements for the Risk methodologies of the bank. Duties will include: – Supervising the daily work of junior members of staff – Analysing existing historical VaR models and providing group-wide recommendations – Working with senior management and trading teams to implement front office risk methods – Assisting in the development of other risk systems (counterparty, stress and CVA) – Quantitative testing of models – Interacting with regulatory departments to ensure adherence (FSA etc) This is Read more […]
Risk Management Sales – Key Account Manager recruitment
To further expand the Company’s position as one of the leading providers of fuel price risk management, we are now looking to recruit a Key Account Manager situated at our office location in Windsor outside London, UK. Key Responsibilities • Build up profitable customer portfolio based on current database and through proactively targeting relevant segments • Prepare and sellcusto-mised Risk Management products suited for the needs of the clients • Ensure that growth targets on volume and revenue are achieved • Explore market and execute on business opportu-nities due to the strategy Read more […]
VP – Corporate Credit (German fluency required) recruitment
Outline :This Business works closely with businesses and functions across the Investment Bank including Debt Capital Markets Origination Distribution, Derivatives, Treasury Services, Equity Capital Markets, MA, and client coverage teams. Transaction involvement will range from relationship facilities through leveraged and acquisition finance to more complex structures. Core Job Functions Be a key member of deal teams in the formulation, approval and execution of new loans, derivatives and any other products with credit risk (with responsibility for due diligence, transaction structuring Read more […]
Credit Risk Analyst – Secured Arrears Strategies & Insight – Manchester recruitment
An approach, in fact, that’s good for everyone, not least our people, which makes this a great opportunity to develop and progress your career as a Credit Risk Analyst in Secured Arrears Strategies Insight. As a Credit Risk Analyst, you’ll develop arrears policies, processes and strategy, identifying any areas for improvement, specifically with regard to the Secured portfolio. Providing analytical support, insight and expert guidance, you’ll also improve the effectiveness of collections strategies across our retail portfolio. Working closely with the modelling team, you’ll help develop Read more […]
Senior Manager – Retail Credit Risk recruitment
Reporting to the Head of Group Credit Risk, you will play a crucial role in developing, managing and maintaining IRB compliant retail credit risk rating systems, consistent with the Group’s strategic aims and meeting relevant regulatory standards and requirements.You will provide subject matter expertise for the Group in relation to retail credit risk management techniques taking account of current and emerging regulatory requirements.Key to this will be your ability to provide appropriate internal challenge and assurance to the Board, Group Risk Committee, and Group Credit Risk Committee with Read more […]