in accounting and finance and strong ability to analyze elements of credit risk in various transactions with financial institutions.... Responsibilities Analyze various elements of credit risk primarily in transactions with financial institutions (primarily banks...
in accounting and finance and strong ability to analyze elements of credit risk in various transactions with financial institutions.... Responsibilities Analyze various elements of credit risk primarily in transactions with financial institutions (Banks, Broker...
its growing portfolio of credit ratings as a surveillance analyst. US SC is a credit rating analytics team that assigns.... Job Responsibilities Lead analyst responsible for monitoring transaction performance and surveilling existing credit ratings. Complete...
its growing portfolio of credit ratings as a surveillance analyst. US SC is a credit rating analytics team that assigns.... Job Responsibilities Lead analyst responsible for monitoring transaction performance and surveilling existing credit ratings. Complete...
manage currency risk in a rapidly evolving market. The Analyst or Associate will play a key role on the Foreign Exchange... offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group...
Job Category: Analyst Job Description: DIVISION AND DEPARTMENT OVERVIEW The Risk Division is responsible... for independent review of market, credit, operational, model, and liquidity risk throughout the firm as well as enterprise wide stress...
portfolio risk analysis, credit, market and counterparty risk stress testing and stress test scenario development. Reviewing...: o Associate Professional Risk Manager o Credit and Counterparty Manager o Market, Liquidity and Asset Liability Management Risk...
for securing credit approvals, documentation review, and administration of all credit exposures (single asset financings, portfolio... and related materials with regard to credit risk approval including for amendment & waiver requests; Industry analysis...
for securing credit approvals, documentation review, and administration of all credit exposures (single asset financings, portfolio... and related materials with regard to credit risk approval including for amendment & waiver requests; Industry analysis...
Primary Function Credit analysis for Commercial Real Estate structured transactions and for a portfolio of customers..., documentation review, and administration of all credit exposures (single asset financings, portfolio financings, corporate...
Executive Director, Leveraged Finance Desk Analyst - New York Country: United States of America Your Journey Starts... portfolio management and investment strategy for leveraged loans and high yield debt Partners with sales and trading...
Sales Analyst to join our dynamic team, supporting a diverse portfolio of small, medium, and large corporate clients.... In this client-facing role, you will collaborate with traders, portfolio managers, and senior sales professionals to execute FX...
that drive complementary scale and relevance for American Express in the US and Canada. The GNS N.A. team manages a portfolio... of existing bank partnerships (e.g., Credit One, Navy Fed, USAA), cobrand programs (e.g., Coinbase, Square, Rakuten, NASCAR, Macy...
Job Category: Analysts Job Description: Are you curious about portfolio management and investment strategies? We're.... As a full-time Analyst in the 2026 Asset Management Product Program, you will collaborate with industry experts to develop...
-to-end credit process including new origination of credit and the monitoring of an assigned credit portfolio Engaging... with partners across the firm, including product, credit risk, in-business controls, legal, marketing, operations, risk, compliance...
borrowing solutions for clients Monitor current credit book including portfolio management, covenant monitoring and risk... grading Work with lending advisors and credit executives to understand risk appetite of the firm and adjust deal flow...
function to risk manage the portfolio of interest rate derivatives and respond to new client requests. Develop pricing models... with control functions including Legal, Compliance, Market and Credit Risk, Audit, Finance to ensure appropriate governance...
with rigorous back-tests and portfolio optimization. Carry out post-trade analyses on rebalancing and risk management methodologies... to optimize the portfolio returns and provide enhanced liquidity while minimizing the interest risk exposure of the trading desks...
. Duties: Validate credit risk models using statistical and mathematical tools and economic and finance theories. Assist... of macroeconomic scenarios on bank’s credit portfolio. Design and execute quantitative and statistical testing on model framework...
with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance to ensure appropriate governance... multi-asset derivative pricing model, risk assessment, and portfolio optimization using stochastic modeling, Monte Carlo...