for managing Deutsche Bank’s counterparty credit risk to US financial sponsor and private capital clients. He or she... financial sponsor or fund manager to fully understand the investment process and strategy, risk management approach and products...
We are seeking a Quantitative Researcher with 3+ years of experience to join a Systematic Macro Portfolio Manager... strategies involving credit indices (e.g., CDX, iTraxx) and credit ETFs. Key Responsibilities: Develop and enhance models...
offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group..., this role will also provide appropriate credit risk analysis for ongoing portfolio management related items. Role Objectives...
in private credit, special situations, restructuring, and financial markets. Excellent drafting, issue spotting, and problem... or in house at a credit fund, bank, or asset manager. Paralegal experience/training is a plus for candidates on a legal track...
Fortress Investment Group LLC is a leading, highly diversified global investment manager with approximately $53 billion... 2,000 institutional clients and private investors worldwide across a range of credit and real estate, private equity and permanent capital...
classes. Responsibilities: Responsible for assessing the credit risk and quality of transactions in the portfolio Assist... and policies Analyze transactions and create credit memoranda for new loans and modifications. Analyze client financial...
Segment Director is responsible for overseeing the credit risk management, underwriting strategies, and portfolio management... concerns, market trends, financial trends, and other pertinent credit issues. These assessments include initial analyses of new...
Manager, Financial Reporting and Compliance New York, NY / Washington, DC Office of the Chief Financial Officer... Fund (PPAF) seek a dynamic and effective Manager of Financial Reporting and Compliance. This job reports to the Assistant...
to build a strong analytics culture as part of our growing team. This role reports to the Senior Risk Analytics Manager of GBSG...We are seeking a Staff Business Data Analyst as part of our growing Risk Analytics and Insight team within Intuit...
. As a Market Risk Manager in the Market Risk Coverage team for SPG (Securitized Product Group) Trading covering Resi Agency MBS..., you will be instrumental in safeguarding our financial assets. You will work closely with trading businesses, providing insights into risk...
your expertise. As a risk manager in our Commercial & Investment Bank (CIB), you'll help manage our financial reputation... build your technical and practical knowledge on-the-job with opportunities in one of the following groups: Credit Risk...
to find the skills required for this role Strong understanding of financial Products and overall risk management processes... and controls Experience auditing capital planning, CCAR (US), ICAAP, credit risk, counterparty risk, market risk, stress testing...
distinguishes itself as a credit, relative value and volatility-focused franchise, with the flexibility to invest opportunistically... attractive risk-adjusted returns for a financially sophisticated clientele, including institutional investors, public...
to build a strong analytics culture as part of our growing team. This role reports to the Senior Risk Analytics Manager of GBSG...We are seeking a Staff Business Data Analyst as part of our growing Risk Analytics and Insight team within Intuit...
Risk Management team, where you will play a pivotal role in identifying, measuring, monitoring, and controlling financial... of our trading portfolios. As a Market Risk Manager in the Market Risk Coverage team for SPG (Securitized Product Group) Trading...
Risk Analytics Manager of GBSG Insights and Experimentation as part of the broader GBSG Risk Policy & Analytics team... the fraud and credit risk mitigation strategies and design new risk-adjusted policy proposals. Investigate root causes...
with customer complaints and litigation Together with the Market Manager and Senior Risk Officer, ensures appropriate supervisory... that any audit findings are appropriately responded to and remediated Works with Market Manager and Senior Risk Officer to monitor...
access requests and enhancement/feature testing related to ERA platform. FLU Risk Manager Management Assist ERA team.... Risk management related general knowledge required, e.g. credit risk, market risk, etc. Strong project management...
Overview: Marathon is a leading global asset manager specializing in public and private credit with approximately $23... performance and partnership. Marathon’s integrated global credit platform is driven by our specialized, highly experienced...
access requests and enhancement/feature testing related to ERA platform. FLU Risk Manager Management Assist ERA team.... Risk management related general knowledge required, e.g. credit risk, market risk, etc. Strong project management...