A leading Global Macro Hedge Fund is hiring a Risk Analyst to join the Front Office team in their NYC office. The.... A background in Credit Markets is strongly preferred in addition to a solid knowledge of Macro Rates/FX Derivatives. Requirements...
based Hedge Fund and Private Credit Strategies. Collaborate with Senior members of the Investment Risk Team, Research... across the alternative investment spectrum, including real estate, private equity and credit, infrastructure, transportation...
to time. Credit Trading Desk Analyst: 1. Perform credit due diligence to determine credit risk and relative value: analyze... issue credit risk and relative value, and providing client feedback and inquiry back to the syndicate desk Analyst III...
, credit and risk management products and services relevant to the financing and strategic development needs of our clients... culture. Analyst, Infrastructure & Project Finance - New York, NY Scotiabank Global Banking and Markets (GBM) is a leading...
, credit and risk management products and services relevant to the financing and strategic development needs of our clients... culture. Analyst, Infrastructure & Project Finance - New York, NY Scotiabank Global Banking and Markets (GBM) is a leading...
assists companies seeking to identify and mitigate risk, streamline the management of their environmental assets, and comply... conceptualization and execution of scalable, multi-disciplinary strategies for the world's largest carbon credit and renewable energy...
as a credit risk analyst/ markets participant related to sovereign debt markets and country risk. Bachelor's degree... Analyst to join our Sovereign Ratings team. This professional will conduct credit research/analysis and help monitor...
current income with a low risk of principal loss using fundamental credit analysis. Construct and actively manage portfolio...Position Summary Our Global Credit segment is a multi-product, markets-focused investment platform. Established in...
management techniques on a macro basis for Citi’s $1.7 trillion Wholesale portfolio, which represents significant credit risk... ICG and Citi credit portfolio and the unique opportunity to gain a strong understanding of a diverse set of risk...
, attributions, sources of risk and return, etc. Perform ad hoc analysis in support of the Relative Value/Macro team Help to design... across the alternative investment spectrum, including real estate, private equity and credit, infrastructure, transportation...