- Experience with investment risk production, reporting processes or Fund audit assignments.
- Support the implementation of Schroder managed/distributed funds onto…
- Solid experience in data and systems analysis, with a focus on risk management applications, specifically for credit risk capital requirements, of which at…
- As a risk modeler you willbe responsible for developing, monitoring and validating all credit risk modelsfor the business.
- Fluency in French and English.
- Support first line risk owners in consistently applying the Risk Management Framework to identify, assess, manage, monitor and report all material risks.
- Support in preparing risk management presentations.
- Support the drafting of risk policies and procedures.
- Partnering with the Portfolio Management team - Review…
- The EIB, the European Union's bank, in the framework of its GRAD programme, is seeking to recruit for its Operations Directorate (OPS), Mandate Management…
- Perform risk assessments, process and internal control reviews in order to improve the internal controls framework of a client;
- As an associate (m/f), you will:
Banque et Caisse d'Epargne de l'Etat
- Highly developed skills in risk modelling and stress testing (e.g. credit risk, liquidity risk or market risk);
- Good knowledge of regulatory requirements;
Arkus Financial Services
- Assistance with the production and quality assurance of risk reports covering various types of risks (Market Risk, Liquidity Risk, Counterparty Risk, etc.);
- Support preparation of portfolio, risk and liquidity reports on Bank’s risk exposures.
- The Risk staff cover the management and monitoring of the credit risk…
Get new jobs for this search by email
By creating a job alert or receiving recommended jobs, you agree to our Terms. You can change your consent settings at any time by unsubscribing or as detailed in our terms.