Societe Generale Corporate and Investment Banking - SGCIB
unique needs and utilizes their diverse talents. Engage our community and marketplace and position the organization to meet the needs of all its clients. RISK DIVISION (RISQ) RiskManagement in the UK is organised along a three lines of defence model with well-defined and segregated responsibilities … regulatory requirements and guidance. RISQ is part of the 2nd line of defence and aims to independently analyse, challenge, opine on and monitor the risk-taking activities of the Business Lines thereby enabling effective execution of the Bank’s strategy in line with its risk appetite. Within RISQ … Department, RISQ/RMA/CRM team plays a central role for LoD2 Counterparty CreditRisk (CCR) management transversally across all types of counterparties, all metrics and activities, leveraging functionally on the whole community within RISQ/RMA department working on counterparty creditriskmanagementmore »
of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The RiskManagement 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 riskmanagement 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 RiskManagementCreditRiskManagement Operational RiskManagement Regulatory & Liquidity RiskManagement Model RiskManagementRisk Analytics Risk Reporting What will you more »
Greater London, England, United Kingdom Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest—and growing—banks in the world. What is the opportunity? The RiskManagement Department at Mizuho EMEA is responsible for delivering an independent assessment of the risks taken across all the business activities of Mizuho … EMEA, and the revenue generated in relation to these risks. It is also responsible for implementing a riskmanagement framework consistent with the risk appetite and capacity of resources, in agreement with the EMEA CIB strategy and senior stakeholders of Mizuho Group. The department is led by … the Chief Risk Officer and is made up of the following teams: · CreditRiskManagement · Credit Portfolio Riskmanagement · Market RiskManagement & Risk Advisory · Regulatory & Liquidity RiskManagement · Model RiskManagement & Risk Analytics · Operational Riskmore »
LEAD CREDITRISK ANALYST BIRMINGHAM UP TO £60,000 As a Lead CreditRisk Analyst, you will play a pivotal role in managing and enhancing our bank's creditrisk strategies. Leveraging your expertise in creditrisk analysis, you will contribute to … the development and implementation of robust creditrisk models and policies, ensuring the bank's portfolio remains resilient and aligned with regulatory standards. THE ROLE Conduct a comprehensive analysis of the credit portfolio, identifying emerging risks, providing insights to senior management for informed decision-making and … implementing creditrisk strategies. Collaborate with cross-functional teams to formulate and update creditrisk policies, ensuring compliance with regulatory requirements and internal standards. Utilize large datasets to extract meaningful patterns, trends, and insights, contributing to a proactive and data-driven creditriskmanagementmore »
Are you a CreditRisk Professional, with experience in Commodities, and immediately available? If so, this could be a fantastic opportunity.... Our client is a very successful Global Energy Trading company with access to all key markets worldwide You will be part of the Credit function which … is responsible for all aspects of creditriskmanagement including pre-deal counterparty assessments, counterparty KYC and sanctions checking, contractual and credit support negotiations, portfolio credit exposure management (including mitigation), default probability assessments, and creditrisk capital assessments. Key Role Responsibilities: As … part of the Credit & KYC team, the CreditRisk Manager will be responsible for: Managing autonomously creditrisk related requests primarily from the UK and US offices overseeing risks, rating, limit and mitigation assessments for new and existing counterparties. Direct involvement in the review process more »
CreditRisk Manager cards payments This is a new and exclusive opportunity for a CreditRisk Manager to take the lead on the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards This is a really interesting role with a … lot of opportunity from day one Role details Title- CreditRisk Manager Business area: CreditRisk, cards, payments Location- flexible on location- office locations include London, Bradford, Chatham. We look for 1, 2 or 3 days in the office and otherwise flexible on your working arrangements … Salary £70,000- £85,000 dependant on experience and location You and Your Team: As a CreditRisk Manager you will be responsible for the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards - covering acquisitions and existing customer management - through more »
CreditRisk Manager cards payments This is a new and exclusive opportunity for a CreditRisk Manager to take the lead on the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards This is a really interesting role with a … lot of opportunity from day one Role details Title- CreditRisk Manager Business area: CreditRisk, cards, payments Location- flexible on location- office locations include London, Bradford, Chatham. We look for 1, 2 or 3 days in the office and otherwise flexible on your working arrangements … Salary £70,000- £85,000 dependant on experience and location You and Your Team: As a CreditRisk Manager you will be responsible for the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards - covering acquisitions and existing customer management - through more »
dedicated Academy Manager, as well as being mentored by Senior Leaders and previous Together Graduates during the course of the programme. Job Description The Credit & Portfolio Risk Team are responsible for the day to day management of credit and portfolio risk within Together. Working collaboratively … with the other 1st line functions (underwriting, operations, sales, collections & recoveries) and 2nd line creditrisk teams, the team ensure that Togethers creditrisk policies and standards are optimised to ensure the business achieves its commercial aims within the Boards stated creditrisk appetite. … We are responsible for the development of and adherence to standards, the strategies that optimise the management of creditrisk and the monitoring of all credit related aspects of Togethers regulated and unregulated portfolios. Reporting to the Senior CreditRisk Manager (Standards), the 1st more »
CREDITRISK STRATEGY MANAGER LONDON- HYBRID UP TO £100,000 Join a leading fintech as a CreditRisk Strategy Manager, you'll play a pivotal role in ensuring the soundness and profitability of our lending strategy for the credit card portfolio. THE ROLE Developing and … optimizing creditrisk strategies to enhance decision-making processes. Analyzing data to identify trends, assess risk levels, and implement effective risk mitigation strategies. Designing and implementing creditrisk models and frameworks to support business objectives. Monitoring portfolio performance and proactively identifying areas for improvement. … Collaborating with cross-functional teams to align creditrisk strategies with business goals. Ensuring compliance with regulatory requirements and best practices in creditrisk management. REQUIREMENTS Creditrisk experience working within the credit card acquisitions Strong analytical skills and proficiency in data analysis more »
Role Overview:** Rosehill Search, a leading finance recruitment agency, seeks a skilled Systematic Credit Quant for a Tier 1 US bank in London. You'll leverage your Quantitative expertise to develop cutting-edge models, specializing in algorithms, to enhance creditrisk management. Additionally, you'll have the … capacity to trade and provide valuable insights to the trading team. **Responsibilities:** - Develop and implement advanced Quant models for creditrisk measurement, emphasizing algorithmic approaches. - Conduct robust empirical analysis and back-testing to ensure model accuracy and reliability. - Collaborate with traders and risk managers to integrate models … into trading and riskmanagement systems. - Support regulatory compliance related to creditrisk, such as Basel III/IV and IFRS 9. - Provide Quant analysis and insights for credit portfolio management. **Requirements:** - Master's or Ph.D. in Finance, Mathematics, Statistics, Economics, or similar Quantitative field. more »
Head of Credit Card Portfolio Analytics London Circa £100,000 Are you a seasoned analytical professional with expertise in Credit Cards Portfolio Insights seeking a pivotal role in shaping strategy and driving informed decision-making? For this role you will need the ability to influence sometimes difficult stakeholders … providing deep analytical insights to steer the business forward. It's with a pioneering fintech firm driving innovation and customer-centric solutions within the credit card industry. THE ROLE: Conduct in-depth analytical deep dives into credit card portfolio performance, providing actionable insights to inform strategy. Collaborate closely … communicate findings and influence decision-making. Drive portfolio optimization initiatives through data-driven analysis and strategic recommendations. Provide oversight and analytical support to the credit strategy team, informing and enhancing their decision-making processes. Act as a key liaison between various departments, ensuring alignment and collaboration on portfolio-related more »
Credit Scorecard Manager £120,000 Plus 10% Bonus Remote Working 2 days per month in the office Quant Capital is urgently looking for a CreditRisk Manager to join our high profile client. My Client is a well known global (yet not too corporate) financial software (fintech … and experienced individual to lead their growing data science function. This role offers the chance to work end-to-end across a range of credit models in the business and take on a challenging role which will give you excellent exposure and experience in the credit modelling space. … Day to Day the CreditRisk Manager will: Build out a new set of credit models Work across the current range of credit models within the business Develop challenger models to improve and enhance the modelling suite Monitor and report on these models, taking oversight across more »
UK. As the Underwriting Manager, you will be directly responsible for leading and managing our underwriting department, ensuring the timely and accurate assessment of credit applications while maintaining strict compliance with company policies, regulatory guidelines, and riskmanagement practices. Your role will be critical in shaping and … implementing underwriting strategies to drive business growth while effectively managing credit risk. Core Responsibilities: * Lead, manage, and mentor a team of Underwriters, fostering a positive and collaborative work environment. * Set clear performance objectives, provide regular feedback, and conduct performance evaluations. * As an Underwriting subject matter expert, work alongside key … to improve efficiency, effectiveness, and customer experience. * Support the team in evaluating Hire Purchase applications, assessing creditworthiness, considering factors such as application data, affordability, credit referencing agency reports and open banking data. * Ensure compliance with relevant regulatory requirements as set out by Compliance Team, including but not limited to more »
We are looking to high an experienced Liquidity Risk Manager. Within this role you will be responsible assisting with the implementation of an effective Liquidity Risk framework. As the Liquidity Risk Manager, you will assist in ensuring that mandated aspects of liquidity risk are correctly captured … reported and scrutinised in a timely and efficient manner, which is in line with a market leading second line of defence risk liquidity function. ***This role is based onsite at our Liverpool Street office 5 days per week*** Key Responsibilities: Assist the Liquidity Risk function in supporting the … business by providing risk oversight for its current and future initiatives. The Liquidity Risk Manager will take ownership of the liquidity risk elements as part of any projects, ensuring timely delivery in line with requirements. Continue to develop the Liquidity Risk processes, procedures, standards and policies. more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »