. Coordinate with users on model related enquiries and trainings Perform Pillar I Stress Test (P1ST) credit risk assessments... models, credit portfolio models and other credit risk models/framework covering Environmental, Social and Governance (ESG...
in formulating effective analytics for model use. Perform stress testing and forecasting on credit model outputs. Coordinate... disciplines. CFA/FRM/ECF qualifications are an advantage. Minimum 5 years of experience in credit risk modelling, with at least 3...
soundness of externally developed credit models. Support credit and business teams in formulating effective analytics for model... use. Perform stress testing and forecasting on credit model outputs. Coordinate with users to address model-related...
of externally developed credit models. Support credit and business teams in formulating effective analytics for model use. Perform... stress testing and forecasting on credit model outputs. Coordinate with users to address model-related inquiries and provide...
of externally developed credit models. Support credit and business teams in formulating effective analytics for model use. Perform... stress testing and forecasting on credit model outputs. Coordinate with users to address model-related inquiries and provide...
in formulating effective analytics for model use. Perform stress testing and forecasting on credit model outputs. Coordinate... disciplines. CFA/FRM/ECF qualifications are an advantage. Minimum 5 years of experience in credit risk modelling, with at least 3...
Jobs Job Details Senior Credit Officer, Specialised Finance Risk (Hong Kong, Singapore) Job Description Requisition Number: 40469...”) with regards to Credit Risk, which sets out the Group's approach to risk management and the control framework within which risks...
management risk, insurance risk, model risk and various forms of strategic and enterprise risks. Implement financial risk... production of the annual Own Risk and Solvency Assessment (ORSA) report. Support the risk reporting to senior management...
, trading management and strategists with appropriate escalation of risks identified to senior risk managers. Close...Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering...
Responsibilities Business Unit Coverage Risk Manager of Liquidity Risk: LRD Asia’s coverage model is a matrix of Business Unit... materials and presenting to senior management on key risk issues, and overseeing creation of presentation materials to key...
, trading management and strategists with appropriate escalation of risks identified to senior risk managers. Close...Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering...
Coverage Risk Manager of Liquidity Risk: LRD Asia’s coverage model is a matrix of Business Unit coverage (including Equities... to senior management on key risk issues, and overseeing creation of presentation materials to key stakeholders including...
Responsibilities Business Unit Coverage Risk Manager of Liquidity Risk: LRD Asia’s coverage model is a matrix of Business Unit... materials and presenting to senior management on key risk issues, and overseeing creation of presentation materials to key...
with over 36 markets About the Role: The Senior Manager, Non-Financial Risk will lead the design, implementation... by our proprietary credit model, cutting-edge technology, and real-time data, we provide efficient, effective, and flexible funding...
We are currently seeking a high calibre professional to join our team as a Senior Traded Risk Analytics Manager... of a management team in ensuring Traded Credit Risk is managed to our risk appetite. Align to team key priorities and objectives...
We are currently seeking a high calibre professional to join our team as a Senior Traded Risk Analytics Manager... of a management team in ensuring Traded Credit Risk is managed to our risk appetite. Align to team key priorities and objectives...
with over 36 markets About the Role: The Senior Manager, Non-Financial Risk will lead the design, implementation... by our proprietary credit model, cutting-edge technology, and real-time data, we provide efficient, effective, and flexible funding...
with over 36 markets About the Role: The Senior Manager, Non-Financial Risk will lead the design, implementation... by our proprietary credit model, cutting-edge technology, and real-time data, we provide efficient, effective, and flexible funding...
in portfolio management and analysis of credit risk; Identify, report and advise available mitigations of new risk trends that may... preferably in Finance, Risk Management, Accounting, Business Administration, International Business or Investment; A minimum...
in portfolio management and analysis of credit risk; Identify, report and advise available mitigations of new risk trends that may... preferably in Finance, Risk Management, Accounting, Business Administration, International Business or Investment; A minimum...