, recharges, cash allocation & reconciliation) Support in review of trade insurance policy and with review of the credit risk... and limits of key accounts half yearly Support Senior Credit Controller/Transactional Finance Manager with Audit queries...
for manager selection exercises, new market evaluations, deep dive diligence, portfolio reviews and recommendations. As a senior... to now be a wholly owned subsidiary of Gallagher, a global leader in insurance, risk management, and consulting with a deep commitment...
on bespoke client requests for manager selection exercises, new market evaluations, deep dive diligence, portfolio reviews... proud to now be a wholly owned subsidiary of Gallagher, a global leader in insurance, risk management, and consulting...
, LDI strategies, derivatives overlay, multi-manager / OCIO, private credit and alternatives Good understanding... investment managers, or consultancy: Investment Management workflow requirements across public markets including portfolio...
reporting areas: capital, liquidity, leverage, balance sheet, credit risk, market risk etc. At least 6 years of experience... to lead the implementation, development, and expansion of our portfolio of reports in partnership with our engineering team...
documentation against internal policies and current market standards to ensure its robustness from a credit and risk perspective... understanding of the loan capital markets including syndication strategy and risk distribution. Key Responsibilities: Reviewing...
is a bonus Understanding of credit risk and non -financial risk Strong team player with ability to work independently Main... Duties and Responsibilities of Role: ING has a fantastic opportunity for an Analyst level Assistant Relationship Manager...
is a bonus Understanding of credit risk and non -financial risk Strong team player with ability to work independently Main... Duties and Responsibilities of Role: ING has a fantastic opportunity for an Analyst level Assistant Relationship Manager...
understanding of the P&L, and what is driving daily moves, including cash and risk based attribution Fully understand the... processes, calculations, rules, and data used in the P&L and NAV processes of the investment manager, its funds, and its...
solutions for our chosen client base and comprises of product, sales, implementation, client services, planning and risk... functions MAIN PURPOSE OF THE ROLE Responsible and accountable as a Business Development Manager – “BDM” (Trade & Working...
Infrastructure, Alternative Credit, Liquid Real Assets (Real Estate/Infrastructure and Commodity Securities) and Sustainable... Investments. Role Details: As a Senior Product Development Manager you will be: Overseeing and project managing the design...
Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...
as required Ensure calculations of premiums and local taxes are accurate for reporting requirements. Ensure timely scanning of core risk... with the credit analysts to discuss the financial position of obligors on relevant risks Track the live status of all risks...
solutions for our chosen client base and comprises of product, sales, implementation, client services, planning and risk... functions MAIN PURPOSE OF THE ROLE Responsible and accountable as a Business Development Manager – “BDM” (Trade & Working...
relative value of various structuring options. Review and manage Long Income Asset and Fund credit risk profiles to ensure... enhance Aviva Investors reputation as a best-in-class fund manager and helping win new business. A bit about the...
, preferably in January Responsibilities Portfolio Management & Credit Quality Working with lead analysts by performing day... to portfolio reviews and other credit projects. Developing a working knowledge of Moody’s methodologies and credit rating...
Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...
, proprietary pricing data and analytics-plus trade execution across multiple asset classes, including credit, equities, and FX... Press (AP) Stylebook and/or other style guides. Preferred qualifications, capabilities, and skills A portfolio...
to assist with budget control, profit and loss reporting etc. Debt management and Credit control for portfolio Weekly WIP... and financial responsibility of the Synnovis Wip. Providing assistance to the BSM and Synnovis Account Manager This will involve...
. They participate in risk meetings and work closely with all our economists and portfolio managers. Execution traders are Pharo's link...Execution Trader - London Who we are: Pharo Management is a leading global macro hedge fund manager with a focus...