of an occurring loss. See your commute As a Market Risk Manager overseeing the Credit business, you will have a lot of visibility... to be involved with the various Fixed Income markets. To be successful as Market Risk Manager, you should have experience...
credit processes, manage risks, and enhance profitability. These roles involve advising on credit risk strategies, governance... closely with clients to streamline workflows and improve credit decision-making in a dynamic market. Key Responsibilities...
will provide more details. Job Summary: This role is for a Senior Market Risk Manager, located in New York, covering the market... risks for the Rates, FX and Secured Financing businesses. Major Responsibilities: Provides Market Risk oversight...
within the Market Risk Management Department (MRMD) primarily covering valuation models (Rates, FX, Fixed Income products... to understand quantitative requirements and enhance models as needed Evaluation of new products from a market risk quantitative...
(i.e., Compliance, Finance, Operations, etc.). Senior market risk manager leading the independent risk oversight of the Structured... local and/or global management and direction of applicable market related risk management functions within a specific...
assessments, and market risk reporting for specific products Liaisons with businesses to understand market trends and impacts... Estate or Credit market risk Motivation to deliver in challenging fast paced environment Familiarity with Microsoft Excel...
on private assets. Deep knowledge and understanding of the private credit investment process and market participants, including... or Private Asset Managers. Your role is to develop and execute a strategy for Private Credit. You will collaborate with the...
and understanding of the private credit investment process and market participants, including general partners. Strong analytical... clients who are Asset Owners or Private Asset Managers. Your role is to develop and execute a strategy for Private Credit...
. We are looking for an Focus Group Leader - Political Risk & Trade Credit. Who We Are Beazley is a specialist insurance company with over 30... Leader – US Political Risk & Trade Credit Division: Political, Accident & Contingency (PAC) Reports To: As per Beazley...
in opening meetings, closing meetings and communicates any concerns to Manager of Credit Risk Review, senior management...Job Description: Senior Vice President, Project Leader (Credit Risk Review) At BNY, our culture empowers...
/maintaining credit risk measurement methodologies, building and maintaining credit risk analytics infrastructure and tools..., as well as providing on-going analytical support for credit risk related analysis. Responsibilities: Credit Risk Model...
/maintaining credit risk measurement methodologies, building and maintaining credit risk analytics infrastructure and tools..., as well as providing on-going analytical support for credit risk related analysis. Responsibilities: Credit Risk Model...
will be under supervision of senior team members: To conduct credit risk evaluations and make recommendations in conformance with Bank’s risk... portfolio. Prepare portfolio reporting and other reports. To update Credit Risk Policies and Procedures to reflect changes...
will be under supervision of senior team members: To conduct credit risk evaluations and make recommendations in conformance with Bank’s risk... portfolio. Prepare portfolio reporting and other reports. To update Credit Risk Policies and Procedures to reflect changes...
sources such as BBG, Reuters, MSCI Experience in Equity Derivatives, Structured Products, Credit or Financing...: As a Digital Product Manager Vice President you will play a key role in driving the growth of our global client facing platform...
an experienced and highly motivated Product Manager to lead our Risk Products team. This role will be responsible for coordinating... all product efforts related to building robust risk systems for internal risk management and managing the credit and market risk...
Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...
projects Product Knowledge: Develop a deep understanding of our credit investment products, including their investment...Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term...
, collateralized loan obligations, direct lending and opportunistic credit. We seek to generate attractive risk-adjusted returns...Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term...
a portfolio manager in Securitized Credit. The team manages over $102 billion* in Securitized assets across the global fixed... managers to monitor risk in portfolios Contribute to cross-asset discussion and debate within Securitized products Work...