of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Risk Management Department at Mizuho International is responsible for delivering an independent assessment of the risks taken across all the trading and origination activities of … the Company, and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the Company's risk appetite and capacity of resources, in agreement with the Company's Board and Mizuho Securities. The department is led by the … Chief Risk Officer and is made up of the following teams: Market Risk Management CreditRisk Management Operational Risk Management Regulatory & Liquidity Risk Management Model Risk Management Risk Analytics Risk Reporting What will you be doing? • Primary creditriskmore »
London, England, United Kingdom Hybrid / WFH Options
AXA Funds Management
European IG and HY Credit Analyst 22 Bishopsgate, London – Hybrid Permanent At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to … help our clients, our people and the world to prosper. As a future European IG and HY Credit Analyst, you will report to the Head of Euro IG & HY Credit Research, and you will be part of AXA IM Core. DISCOVER your opportunity The Credit Analyst will … contribute to the fixed income investment process supporting European Portfolio Managers by providing (1) fundamental creditanalysis, including internal credit ratings, climate colours and analysis of ESG factors on a forward-looking basis; (2) relative value ideas (3) market insight on covered sectors; (3) supporting client more »
Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services) required by our asset management client in London. … You MUST have the following: Strong experience as a Python Developer/Software Engineer/Programmer Good Python Experience working in Fixed Income (rates, credit, bonds, ABS) Some Front End ability (Vue, React or Angular good but not necessary) Agile The following is DESIRABLE, not essential: AWS or GCP … Buy-side Data tools such as Glue, Athena, Airflow, Ignite, DBT, Arrow, Iceberg, Dremio Fixed Income performance, risk or attribution TypeScript and Node Role: Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy more »
Portfolio Manager & Credit Analyst – Project Finance Portfolio Manager/Credit Analyst is required to join our investment banking client to work on a portfolio of transactions within their project finance space. Based in London (hybrid working), this is a permanent position paying between £75,000 and £80,000. … You will be responsible for supporting exposure management teams across the area, performing creditanalysis and credit applications for clients. You will also be accountable for financial modelling as part of the credit supervision process. Requirements Proven experience as a Portfolio Manager/Credit Analyst. … supporting the project finance division. If you feel like you match the above and would like to hear more, please apply within. Portfolio Manager & Credit Analyst – Project Finance Kite Human Capital – Hire Better We are unashamedly focused on working with only the best people, who care about customer value more »