Total result: 216


£100 - 125
Location: London
... valuation of the portfolio Review of VAT/CIT calculations throughout Europe Assistance with the budgeting process Reinforcement and enhancement of control environment Provision ... auditing, and valuation, with a specific focus on real estate and/or private credit Undergraduate degree in accounting with exceptional academic credentials Strong Technical ...
Company: Marathon Asset Management (1 day ago)

Location: Solihull
... standards and fair customer outcomes. You will review and enhance credit risk controls and strategies, including monitoring performance against key risk indicators. ... assessments. Key Responsibilities: Manage asset quality and credit risk strategies across Consumer Finance portfolios, ensuring alignment with risk appetite and presenting insights ...
Company: BNP Paribas Personal Finance Job type: permanent (5 days ago)

£100 - 125
Location: London
... significant impact in the world of finance? As a Credit Portfolio Group – Product Controller – Associate, within our product control function, you will provide crucial support to ... Required Qualifications, Skills and Capabilities Work experience within Product Control, Financial Control, Accounting, or related area Experience doing P&L and month ...
Company: TN United Kingdom (3 days ago)

£125 - 150
Location: London
... cross sell in conjunction with Product Offices, and managing the credit portfolio and associated tasks. The team has been structured on country lines ... credit applications from a business promotion point of view and responsibility for all linked processes including liquidity application, compliance documentation/ KYC, and overall quality control ...
Company: MUFG Americas (5 days ago)

£100 - 125
Location: London
... control and monitoring of conditions subsequent Support loan repayment Able to act as Facility and Security Agent Internal and external operational handling of ongoing credit ... ESG reporting (SFDR, taxonomy, energy data consumption), participation to quarterly portfolio loan review Liaising with external counterparts: clients, agents, valuers, ...
Company: TN United Kingdom (3 days ago)

£60 - 80
Location: Belfast
... of financial products and services, including consumer banking and credit, corporate and investment banking, securities brokerage, transaction services, and ... staff located all over the globe. Our portfolio has multiple systems providing market controls, alerts disposition, regulatory reporting and controls inventory applications. In the Markets ...
Company: Jobs via eFinancialCareers (6 days ago)

£125 - 150
Location: Brighton
... . The incumbent will manage a team spanning both operations and fund control, acting as a key liaison between investment professionals and support teams.Furthermore ... auditors. Take ownership of day-to-day operations across private credit portfolios — including loan closings, settlements, cash and position reconciliations, and investor reporting ...
Company: JR United Kingdom (1 day ago)

Location: Greater London
... of the public side syndicate and sales functions. Work closely with control functions in market, credit and reputation risk, compliance, legal, accounting, and tax. Required ... level comparable to portfolio manager in funds or C-suite or C-suite - 1 in corporates. Understanding of complex financing arrangements and private credit products. ...
Company: JPMorgan Chase & Co. Job type: permanent (3 days ago)

Location: Glasgow City
... Ensure Accountability for coding decisions, control obligations, and measures of success such as cost of ownership, maintainability, and portfolio operations Introduce new technologies ... requirements into a sound technical design and implementation. Understanding of Credit or similar financial markets products Expertise in Computer Science, Computer ...
Company: J.P. MORGAN-1 (6 days ago)

Location: London (Greater)
... governance accountability for coding decisions, control obligations, and measures of success such as cost of ownership, maintainability, and portfolio operations Delivers technical ... system design, application development and operational stability Understanding of Credit or similar financial markets products Expertise in Computer Science, Computer ...
Company: J.P. MORGAN-1 (6 days ago)

Location: London (Greater)
... services. Accountability for coding decisions, control obligations, and measures of success such as cost of ownership, maintainability, and portfolio operations Introduce new technologies ... Engineering, Mathematics, or a related technical field Understanding of Credit or similar financial markets products Experience across one or more database ...
Company: J.P. MORGAN-1 (6 days ago)

£100 - 125
Location: London
... practice or industry. Key responsibilities: Fund Accounting and Product Control Assist with tax and audit cycles Production of the daily portfolio reports; liaising with the Fund Administrator and custodians on ... United Kingdom 3 days ago Fund Controller - Fast growth Private Credit business - £80k plus 50%-70% bonusSenior Investment Accountant, HNW ...
Company: Fusion Recruitment (6 days ago)

Location: London
... in the dynamic Lloyd’s market. The Role Includes: Assisting with underwriting and portfolio management Producing reports, analysing data, and tracking performance Supporting business ... to industry trends Ensuring compliance and risk controls are followed Ideal Candidate: Experience in Political Risk & Credit (insurance or broking) Lloyd’s market ...
Company: Bruin (6 days ago)

£150 - 200
Location: London
... effectiveness of governance, risk management and internal controls to monitor manage and mitigate key risks to achieving ... and risks within their Head of Audit’s portfolio. Undertake continuous monitoring assignments. Work collaboratively wit ... understanding of Enterprise Risk, Operational Risk, Credit Risk or Operations gained in a major corporate ...
Company: MUFG Americas (3 days ago)

Location: London
... term goals and regulatory requirements Key Responsibilities: Monitor portfolio exposures and assess market, credit, and liquidity risks across asset classes Perform quantitative ... controls Ensure compliance with risk limits, governance, and regulations Collaborate with teams to evaluate risk-return profiles of investment strategies Analyse portfolio ...
Company: Delta Executive Search (2 days ago)

£100 - 125
Location: London
... review process including distribution of reports, communicating with underwriters and credit control monitoring, Provide support to other members of the team as required, ... compliance to Delegated Authority policy and internal controls, Other ad hoc tasks as required to support the portfolio Change and Operational Improvements Actively contribute ...
Company: SCOR UK Company Limited (1 day ago)

£100 - 125
Location: London
... Corporate Title: Vice President The Chief Risk Office function manages credit, market, model, operational, enterprise, and liquidity risks, developing risk measurement ... bank. Within Model Risk Management, the Governance and Control team is responsible for designing group-level frameworks, assessing portfolio model risk, and managing model risk ...
Company: Australian Investors Association (6 days ago)

£100 - 125
Location: London
... The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market, model, operational, enterprise, and liquidity risks. It also ... . Within Model Risk Management, the Governance and Control team is responsible for designing group-level frameworks, assessing portfolio model risk, and managing model risk ...
Company: Deutsche Bank (1 day ago)

Location: London (Greater)
... , managing the existing portfolio, client support, financial analysis/modelling, industry analysis, investor and internal reporting, managing controls and policies, due diligence ... perform analytics for internal and external clients. Provide credit and risk analysis as well as periodic portfolio reviews. Assist in the on-boarding and monitoring of ...
Company: J.P. MORGAN-1 (6 days ago)

£125 - 150
Location: Slough
... understandable technical documentation Experience of using GIT based source control repository and tools such as Bitbucket and SourceTree. Experience using Jira for full ... either in market risk or credit risk domain with understanding of analytics integrations for calculations of PnL vectors, various methods to calculate portfolio VaR, sensitivities, ...
Company: JR United Kingdom (5 days ago)
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