Estate team. In the Firm Risk Management division, we advise businesses across the Firm on risk mitigation strategies...We’re seeking someone to join our team as a Vice President in Credit Risk Fixed Structured Lending - Commercial Real...
of qualitative and quantitative techniques to analyse the data and a deep understanding of Market Risk Regulation. Group Strategic... Bank and to Risk and Control functions. The Strategic Analytics team combines expertise in quantitative analytics...
where we live and work through volunteerism. ICG Risk Analysis (IRAUs) is an integral part of the Institutional Credit Management... both quantitative and qualitative factors Complete Credit Analysis Write-up Memos and Final Obligor Risk Ratings of Citi...
Location: Mumbai, India Corporate Title: AVP Role Description Market and Valuation Risk Management (MVRM) provides... an independent view of market risks and valuation to Deutsche Bank’s senior management. Market risk team manages Deutsche Bank...
Job Category: Predictive Science Job Description: Wealth Management (WM) Investment Risk & Analytics... (IR&A) is responsible for the risk oversight of the Managed Strategies from end to end across the WM's Private Bank and Consumer Bank...
Job Category: Predictive Science Job Description: Wealth Management (WM) Investment Risk & Analytics... (IR&A) is responsible for the risk oversight of the Managed Strategies from end to end across the WM's Private Bank and Consumer Bank...
department ensures that the Bank�s risk is managed through a risk management architecture as well as through policies...Job Description: MARKET RISK TEAM INTERNAL USAGE: No. of Vacancies: Reports to: Is a Team leader? Y/N Team Size...
Member - ALM Location Mumbai Function Risk Management Department is responsible for the development and maintenance of risk... is considered in risk/return decisions. In addition, Risk Management Department is responsible for the monitoring and reporting...
in the Model Risk Governance and Review Group which is responsible for end-to-end model risk management across the firm.... As a Quant Model Risk Vice President you will assess and help mitigate the model risk of complex models used in the context...
that transform risk management in banking? Join our Credit Risk Innovation team where you'll combine product development, agile... management. As an Associate in the Credit Risk, you are at the centre of keeping JPMorgan Chase strong and resilient...
department ensures that the Bank�s risk is managed through a risk management architecture as well as through policies... entails management of the Collateral Risks for different Products, while ensuring that assigned Key Risk Indicators (KRIs...
Job Description: About Risk The Risk department ensures that the Bank’s risk is managed through a risk management..., measurement and management of risks across the various businesses of the Bank. The Risk department of the Bank strives...
department ensures that the Bank�s risk is managed through a risk management architecture as well as through policies... entails management of the Collateral Risks for different Products, while ensuring that assigned Key Risk Indicators (KRIs...
analytics, modelling, pricing and risk management with deep understanding of system architecture and programming. Within GSA... calculations for Counterparty Credit Risk. The team also works closely with Market Risk Management on Basel III projects...
risk management? At the Model Risk Governance and Review Group (MRGR), we are at the forefront of assessing and mitigating... model risk across the globe. With a presence in major financial hubs such as New York, London, Mumbai, Hong Kong, and Paris...
analytics, modelling, pricing and risk management with deep understanding of system architecture and programming. Within GSA... calculations for Counterparty Credit Risk. The team also works closely with Market Risk Management on Basel III projects...
Governance and Review Group which is responsible for end-to-end model risk management across the firm. As a Quant Model Risk... and hedging derivatives) Good coding skills, for example in C/C++ or Python 2+ years in a FO or model risk quantitative role...
risk management? At the Model Risk Governance and Review Group (MRGR), we are at the forefront of assessing and mitigating..., clients, customers and employees up for success. Risk Management helps the firm understand, manage and anticipate risks...
department ensures that the Bank�s risk is managed through a risk management architecture as well as through policies... entails management of the Collateral Risks for different Products, while ensuring that assigned Key Risk Indicators (KRIs...
or model risk quantitative role. Preferred qualifications, capabilities, and skills Experience with Rates derivatives...Job Category: Predictive Science Job Description: As a Quant Model Risk Associate you will assess and help mitigate...