Job Description: Overall purpose of the role. Reporting to the Head of Credit Risk London, the Credit Analyst... provides risk analysis on regulated and un-regulated funds, asset managers, private equity funds, pension funds and potentially...
A leading international bank is currently seeking an experienced Hedge Fund Credit Analyst to join their City based... is for validation purposes and should be left unchanged. January 15, 2025 Ref: 39341 Hedge Fund Credit Analyst - AVP / VP A leading...
. About the job: About the area: The Wholesale Credit Risk group is responsible for analyzing the bank's trading... counterparties, assign internal ratings and set risk limits. It is also responsible for ensuring that the credit profile...
an Analyst/Senior Analyst to join our growing Funds Ratings team in the London office. The Funds team assigns and monitors credit...Position Title: Funds Ratings - Analyst / Senior Analyst (London) Entity: Kroll Bond Rating Agency UK Limited...
We’re looking for a Graduate Credit Analyst We’re growing fast, and more customers means more credit decisions... credit data, financial statements and other data sources to assess the level of risk involved in lending. Conducting...
We’re looking for a Credit Analyst - German Speaking We’re growing fast, and more customers means more credit... sanctioning or credit analysis within the SME sector in Germany Strong business acumen and a working understanding of the risk...
risk professional is requited to join an international... January 15, 2025 Ref: 39341 Hedge Fund Credit Analyst - AVP... a strong credit analyst who is interested in a career in leadership in the future. Please share your CV for consideration. Bruin...
MENA Country Risk Analyst The Country Risk team in BMI, a Fitch Solutions Company, is currently seeking a Senior... as a macroeconomic/sovereign risk analyst required, with experience in analytical writing, data management, and forecasting Role...
for the global fund complex. THE ROLE & RESPONSIBILITIES We are seeking an Analyst to join the Global Risk Management team... within GS, both inside & outside of Credit risk. ABOUT GOLDMAN SACHS At Goldman Sachs, we commit our people, capital...
Risk Analyst Who we are: Pharo Management is a leading global macro hedge fund manager with a focus on emerging... billion in assets across four funds. Pharo trades foreign exchange, sovereign and corporate credit, local market interest...
credit ratings on various debt instruments issued by funds, closed-end funds, and other fund vehicles. KBRA's growing ratings... or any subject that results in strong analytical skills. Four (4) to Eight (8) years of work experience as a credit analyst...
our clients’ capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating... strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture...
and secondary markets. As a Leveraged Credit Salesperson, you'll play a vital role in making sure we help clients manage risk... marketplace, in particular with hedge funds and credit opportunities funds based in the US and EMEA proven understanding of the...
all investment product for which there is some capital component, spanning equities, fixed income, funds, credit and alternatives... (equities, fixed income, credit, funds, systematic strategies Knowledge of structured investments or quantitative investment...
and modelling to support deal structuring and execution. Analyze credit risk and develop clear credit judgments. Collaborate... clients globally. Position Overview: We are seeking a motivated and analytical VIE Analyst to join our Acquisition...
strategies that enhance iwoca’s performance. Collaborate closely with the Distribution, Credit Risk and Operations teams...Product Strategy Analyst Hybrid in London, United Kingdom The company Fast, flexible finance empowers small...
, opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information..., we work to build the next generation of systems that manage risk, create efficiency and improve transparency within the firm...
Understanding of applicable risk mitigation tools across Banking and Credit products Ability to operate in an environment... Contract Type Short Term Contract Length 23 months Posting End Date 04/04/2025 Purpose of Job The analyst is responsible...
Understanding of applicable risk mitigation tools across Banking and Credit products Ability to operate in an environment... Contract Type Regular Contract Length Posting End Date 04/04/2025 Purpose of Job The analyst is responsible for completing...
with the Senior Sector Analyst, provide purchase and sale recommendations to portfolio managers based upon thorough credit...PGIM Fixed Income | Senior Investment Analyst, London based A GLOBAL LEADING ASSET MANAGER WITH A DIVERSE & INCLUSIVE...