strategies including rates, currency and credit on behalf of our clients. Investment ideas are created through collaboration... a portfolio manager in Securitized Credit. The team manages over $102 billion* in Securitized assets across the global fixed...
risk reduction solutions (using instruments such as CDS, Credit Insurance, Securitizations, Loan sales and Risk... credit agreement & bond indenture review. Identify exposures in the portfolio at risk for credit deterioration and downgrade...
credit, real estate, infrastructure, growth equity, sustainability, secondaries, GP stakes, and hedge funds / liquid... stakeholders such as legal, risk management, operations, compliance, controllers and tax in order to effectively respond to inbound...
of benefits to its employees. Role Description This position supports the Chief Credit Risk Officer (CCRO) as well as Co-Head... for developing, recommending, communicating and implementing credit risk management policies, strategies and operational guidelines...
Finance. The position assesses a risk-based sample of credit originations and borrower reviews that have already been approved...’s established standards and procedures for credit underwriting and risk rating and meets regulatory expectations. Major...
Execution Relationship Management Portfolio Management Risk Management Financial Analysis Competitive Positioning Legal... Documentation Compensation and Benefits: Salary range for Associate: $150,000 to $175,000. Total compensation includes...
Execution Relationship Management Portfolio Management Risk Management Financial Analysis Competitive Positioning Legal... Documentation Compensation and Benefits: Salary range for Associate: $150,000 to $175,000. Total compensation includes...
Management position No Job summary Summary Serve as Risk Monitoring & Reporting Associate to the Head of Projects, Risk...Crédit Agricole CIB is the corporate and investment banking arm of Crédit Agricole Group, the 10th largest banking...
Summary Serve as Risk Monitoring & Reporting Associate to the Head of Projects, Risk Monitoring & Reporting. The team... submission of business pipeline memos Review and reconcile monthly the RWA data for risk reporting and help to prepare the...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Associate.... As an Experienced Associate of the Risk & Regulatory Advisory team, you will serve as a Subject Matter Expert and advise financial...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate... to build quality relationships. Uphold the firm's code of ethics and business conduct. As a Senior Associate of the Risk...
status quo and striving to be best-in-class. As a Principal Risk Associate on the Principal Risk Management Team...+ years work experience in risk management or related areas in the financial industry; familiarity with credit or market risk...
of benefits to its employees. Role Description The Associate - Risk Data Management role will be within the Risk Department... a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group...
Industry/Sector Banking and Capital Markets Specialism Conduct and Compliance Management Level Senior Associate... Job Description & Summary A career within Regulatory Risk and Compliance services, will provide you with the opportunity to help companies...
will provide more details. Position Summary The Associate supports the Business Unit Risk Management (BURM) team in the “first... continuity, and model risks. The Associate reports to the Business Unit Risk Manager (BURM). The Associate will play...
status quo and striving to be best-in-class. As a Senior Associate in Risk Management - Investment Risk & Analytics..., understanding regulatory changes and determining credit worthiness. Risk Management provides independent oversight and maintains...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate... performance and risk management across financial risks, including liquidity risk, market risk, counterparty credit risk...
job is an Associate role in Model Risk Management team, which requires the understanding of model risk management framework and regulatory... Specialty in credit risk models and compliance models preferred FRM or CFA preferred Pay Range Actual salary...
job is an Associate role in Model Risk Management team, which requires the understanding of model risk management framework and regulatory... Specialty in credit risk models and compliance models preferred FRM or CFA preferred Pay Range Actual salary...
is available at . Follow @blackstone on , , and . Job Title: Blackstone Multi-Asset Investing (BXMA)- Quant/Risk, Associate Business Unit..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...