Credit Risk Business Analyst Stellenangebote


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Job am 03.11.2025 bei Jobleads gefunden

Credit Risk Business Analyst German Mortgages (m/f/d)

• Berlin Beratungs-/ Consultingtätigkeiten Credit Risk Business Analyst German Mortgages (m/f/d) Lloyds Bank Gmb H and its brands Bank of Scotland and Lloyds Bank have won over 1 million satisfied customers in recent years. [...]
MEHR INFOS ZUM STELLENANGEBOT[...] And this thanks to convincing products and, above all, our committed colleagues who want to achieve the best for our customers every day [. .. ]

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Job vor 13 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH Computer Scientist as Quantitative Risk Analyst-Data-Driven ML Techniques (f/m/d) • North Rhine- Westphalia Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit. Help shape the quantitative risk management [...]
MEHR INFOS ZUM STELLENANGEBOT[...] function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business. Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation. Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios. Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level. Implement models and analytics in Python as part of [. .. ]

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Job vor 14 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH

Quantitative Risk Analyst (f/m/d)

• North Rhine- Westphalia Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit. Help shape the quantitative risk management [...]
MEHR INFOS ZUM STELLENANGEBOT[...] function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business. Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation. Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios. Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level. Implement models and analytics in Python as part of [. .. ]

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Job vor 13 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH Quantitative Risk Analyst (f/m/d) • North Rhine- Westphalia 45127 Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit Help shape the quantitative risk management [...]
MEHR INFOS ZUM STELLENANGEBOT[...] function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level Implement models and analytics in Python as part of [. .. ]

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Job vor 13 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH

Computer Scientist as Quantitative Risk Analyst-Data-Driven ML Techniques (f/m/d)

• North Rhine- Westphalia 45127 Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit Help shape the quantitative risk management [...]
MEHR INFOS ZUM STELLENANGEBOT[...] function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level Implement models and analytics in Python as part of [. .. ]

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Job am 02.12.2025 bei Neuvoo.com gefunden PIMCO ETF Account Manager-PIMCO • Bavaria Munich PIMCO is a global leader in active fixed income with deep expertise across public and private markets. We invest our clients capital across a range of fixed income and credit [...]
MEHR INFOS ZUM STELLENANGEBOT[...] opportunities, leveraging our decades of experience navigating complex debt markets. Our flexible capital base and deep relationships with issuers have helped us become one of the worlds largest providers of traditional and nontraditional solutions for companies that need financing and investors who seek strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture, in which we celebrate diverse thinking. We invest in our people and strive to imprint our CORE values of Collaboration, Openness, Responsibility and Excellence. We believe each of us is here to help others [. .. ] investment outlook and portfolio strategy, reviewing investment results, and becoming a trusted advisor to clients and prospects. Importantly this role will have a strong focus on ETF sales and new business development. The individual will be responsible for selling PIMCOs existing and growing suite of active ETFs, which span the full range of the fixed income opportunity set. The successful candidate is expected to promote PIMCOs ETF products through tailored presentations, seminars and client meetings. Furthermore, it will be crucial to [. .. ] Income ETFs Personable, ability to develop client relationships into strategic partnerships; also, able to develop collaborative internal relationships with key stakeholders within the team and across the firm Chartered Financial Analyst (CFA) or willingness to pursue upon joining Equal Employment Opportunity and Affirmative Action Statement PIMCO recruits and hires qualified candidates without regard to race, national origin, ancestry, religion (including religious dress and grooming practices) , sex (including pregnancy, childbirth, breastfeeding, or related medical conditions) , sexual orientation, gender (including gender [. .. ]

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Job vor 13 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH Quantitative Risk Analyst (f/m/d) • North Rhine- Westphalia Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit Help shape the quantitative risk [...]
MEHR INFOS ZUM STELLENANGEBOT[...] management function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level Implement models and analytics in Python as part of [. .. ]

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Job vor 13 Tagen bei JobMESH gefunden E. ON Energy Markets GmbH Computer Scientist as Quantitative Risk Analyst-Data-Driven ML Techniques (f/m/d) • North Rhine- Westphalia Essen Sabbaticals Work-Life-Balance Responsibilities Work in a highly experienced, collaborative, international, fun team that sits at the heart of E. ONs new energy trading and procurement unit Help shape the quantitative risk [...]
MEHR INFOS ZUM STELLENANGEBOT[...] management function for a fast-growing trading portfolio spanning power, gas, options, complex financial and physical derivatives, and structured customer business Take end-to-end ownership of models: from idea and research, through prototype, to robust, cloud-native production implementation Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level Implement models and analytics in Python as part of [. .. ]

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Job vor 5 Tagen bei Jobleads gefunden

Director, Sustainable Debt

Führungs-/ Leitungspositionen [. .. ] as internal approvals, capital raising, and investor relations through to financial close. Key responsibilities will also include overseeing the development of flexible and transparent financial models (including [...]
MEHR INFOS ZUM STELLENANGEBOT[...] the incorporation of credit enhancements and blended finance) , performing due diligence and risk assessments, developing internal and external information memoranda, the development of new credit enhancements by collaborating with external and internal stakeholders, the structuring of new funds to be deployed towards Nature Bonds, development of new strategies that allow to manage, mitigate and reduce the risks TNC takes in Nature Bonds projects, and structuring and closing sovereign debt deals. The Director may also be responsible for training and overseeing the work of Associate (s) and/or Analyst (s) . The positions location is flexible within countries where The Nature Conservancy is a registered NGO and has an established office. Candidates should have the ability to overlap at least 4 hours per day with USA EST time zone. Requires willingness and ability to travel both domestically and internationally [. .. ] lenders, and national governments. They will work in collaboration with the Debt for Nature Coalition to advance development of a robust portfolio of Nature Bonds. The Director will bring sophisticated business, financial, credit, and economic analysis, and structured finance expertise, including financial modeling, pitch deck creation, credit/ information and internal approval memorandum drafting experience, due diligence, deal structuring, and negotiation skills to the design and implementation of this work. They will approach all work with a spirit of collaboration and respect [. .. ]

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Job am 01.12.2025 bei Jobleads gefunden Head of Rating • München, Bayern Führungs-/ Leitungspositionen [. .. ] risks and allocate capital effectively. Join our team and shape the future of the financial world with us About the Role We are seeking a motivated and [...]
MEHR INFOS ZUM STELLENANGEBOT[...] detail-oriented Research Analyst with a strong background in financial analysis and credit ratings. In this role, you will play a key part in advancing our rating and monitoring platform for digital assets. You will collaborate with cross-functional teams to ensure our methodologies remain at the forefront of industry standards and deliver actionable insights to our clients. The ideal candidate (m/f/d) would have a minimum of 5 years of proven experience in the financial industry, with a strong focus on credit risk and credit ratings. They would also bring an understanding of structured finance risk management practices, which would be considered an advantage. Familiarity with real-world assets (RWA) / tokenization, smart contracts, and blockchain technology is essential, along with a passion for digital assets and a drive to innovate in a [. .. ] write comprehensive rating reports, including conceptualization, data analysis and clear presentation of results. Coordinate internal requirements and constraints with developers, marketing, sales and external partners to ensure product alignment with business objectives and customer needs. Ensure that research activities and data aggregation meet the highest quality standards and comply with relevant laws and regulations. Seek opportunities to continuously improve data collection, automation, analytics and reporting processes. Keep ahead of industry best practices. Improve our holistic rating framework by ensuring the accuracy [. .. ]

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Neu Job vor 4 Std. bei Jobleads gefunden

Senior Analyst, Real Estate Corporate Ratings, Germany

• Frankfurt (Oder) , Brandenburg [. .. ] 120 rated entities across Europe and Africa. We are focused on delivering highquality analysis and excellent client service within transactionoriented sectors. The Impact In this role, you [...]
MEHR INFOS ZUM STELLENANGEBOT[...] will provide insightful credit risk analysis that influences rating decisions. Your interactions with Finance and Treasury teams of rated entities will enhance our understanding of market dynamics, while your engagement with investors and market participants will support our commitment to transparency and communication in the debt markets. You will play a pivotal role in shaping [. .. ] and accounting concepts. An S P Global employee at this level would typically have 35 years of experience and a masters degree in relevant fields, such as Finance, Economics or Business Administration. Ability to, and interest, to work on financial modelling to analyse companys capital structure, liquidity and forecasts. Experience in analysing debt/ instrument documentation and transaction structures. Preferably a previous experience in a global organization (bank, accounting firm, asset manager, large corporate) and ability to work in an international, and [. .. ]

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Neu Job vor 4 Std. bei Jobleads gefunden Credit Underwriting Analyst (m/f/d) • Frankfurt, Hesse Senior Consultant-Selby Jennings-Credit Risk in the DACH Region On behalf of a market-leading leasing provider, we are hiring a Credit Underwriting Analyst to play a key role in the companys [...]
MEHR INFOS ZUM STELLENANGEBOT[...] credit operations. This position is critical for ensuring sound risk decisions and maintaining strong relationships with brand partners. It offers the opportunity to work in a fast-paced environment where analytical skills and strategic thinking are highly valued. Key Responsibilities Act as [. .. ] credit applications and documentation, proactively identifying missing information and coordinating with customers and sales teams. Conduct detailed financial analysis of companies applying for leasing solutions, interpreting annual financial statements and business performance reports. Ensure compliance with regulatory requirements, while assessing creditworthiness and preparing wellsupported credit recommendations. Develop accurate credit ratings and risk assessments within delegated authority. Collaborate with relationship managers on complex cases, providing expert input and participating in client meetings. Contribute to projects aimed at improving credit processes and operational [. .. ]

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Neu Job vor 4 Std. bei Jobleads gefunden

AI-Powered Credit Risk Analyst Drive Risk Insight

• Wien [. .. ] our success is driven by our commitment to customer satisfaction. Our team is dedicated to delivering innovative solutions and technology-enabled services that help our customers focus on [...]
MEHR INFOS ZUM STELLENANGEBOT[...] their everyday business. Were committed to sustainable mobility and have made it a core part of our strategy. In everything we do, were guided by the principles of authenticity, curiosity, commitment and collaboration. We aim to foster an organisation thats diverse in people and ideas, where everyone can thrive and be themselves, no [. .. ] Employment type Employment type Full-time Job function Job function Finance and Sales Referrals increase your chances of interviewing at Ayvens by 2x Sign in to set job alerts for Credit Risk Analyst roles. Counterparty Credit Risk and Data Analyst (f/m/d) Financial Analyst (m/f/d) for Energy Projects Were unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr 73330943 [. .. ]

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Neu Job vor 4 Std. bei Jobleads gefunden Senior Finance Regulatory Analyst (m/F) • Biesdorf, Rheinland- Pfalz Founded in 1856, Banque Internationale Luxembourg is the oldest multi-business bank in the Grand Duchy. From its foundation, the BIL has always played an active role in the development [...]
MEHR INFOS ZUM STELLENANGEBOT[...] of the Luxembourg economy. It currently operates in retail, private and corporate banking, as well as on major capital markets. Employing more than 2 000 people, BIL is present in the [. .. ] focus on regulatory capital and regulatory reporting Your role in particular within the team will be : To perform regulatory analysis (Q A, memos) with a specific focus on the Credit Risk area (CRR, RWA, IFRS 9, Internal models) To act as the contact person for the banking regulatory and IFRS 9 subjects to support the production and analysis of the Credit Risk reporting prepared by the Finance department based on internal models (RWA, ECL) To prepare ad-hoc document and procedures [. .. ]

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Job gestern bei Jobleads gefunden

Senior Manager-Market Financial Risk (Line 2 Assurance)

About The Company Our client is a growing and market leading retail bank with a great reputation and a very strong risk team. Due to an internal promotion, an [...]
MEHR INFOS ZUM STELLENANGEBOT[...] initial six month fixed term contract role has become available for an experienced market and financial risk leader to join early in 2026. Working in either Sydney or Melbourne and in a hybrid and flexible working environment you will influence decisions on balance [. .. ] advise across the Lines of Defence model, contributing to day-to-day risk operations. Provide independent oversight and assurance of Treasury and Capital risks (liquidity, funding, capital adequacy, IRR, counterparty credit risk) , including models and selfassessments against APRA standards, delivering insights that strengthen Executive and Board decisionmaking. Risk Analytics Reporting: Develop and oversee regulatory, Board, Executive and adhoc risk reporting. Ensure risk events are accurately recorded, monitored, escalated and reported. Deliver insights that identify trends, concentrations and material changes in [. .. ] Engagement: Collaborate with and influence Line 1 stakeholders to embed risk considerations into strategic and financial decisionmaking. Continuous Improvement: Champion constructive challenge and innovation, enhancing risk frameworks and practices, embedding business changes and leveraging research and professional networks to improve outcomes. About You To be successful in this role you will be available to start in early 2026 and have demonstrated experience in analysing and challenging financial risk frameworks including liquidity, funding, interest rate, counterparty credit, capital management and budgeting/ forecasting [. .. ] consideration. If you would like more information or to make a confidential enquiry, please reach out to me at. Unlock job insights Salary match Number of applicants Skills match Senior Analyst-Projects Analytics (Market Financial Risk) #J-18808-Ljbffr 73258303 [. .. ]

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Job gestern bei Jobleads gefunden Senior Risk Analytics Projects Lead (Market Financial) Führungs-/ Leitungspositionen A leading retail bank in Austria is seeking an experienced Senior Analyst in Projects Analytics. In this role, youll provide expert insight into liquidity, funding, interest rate, and credit [...]
MEHR INFOS ZUM STELLENANGEBOT[...] risk. With over 5 years of experience in financial services, you will create and review financial risk models while collaborating closely with stakeholders. Your strong data analytics skills, along with knowledge of Power BI and SQL, will be crucial in driving risk insights and modernizing the risk culture. Competitive package offered. [. .. ]

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Job gestern bei Jobleads gefunden

Credit Risk Analyst (m/f/d) - Trading

• Karlsruhe, Baden- Württemberg Homeoffice möglich [. .. ] Ticket (train ticket) Flexible working models such as part-time hours and home office about our various employer benefits at a glance Vielfältige Aufgaben A wide range of [...]
MEHR INFOS ZUM STELLENANGEBOT[...] tasks The Credit Risk Team oversees the counterparty onboarding process for all trading activities-pipeline flow, seaborne activities and more structured deals such as PPAs-from the KYC to Agreements negotiation and management the credit risk arising in the Trading Business unit. With a relatively flat structure, you will learn but also provide your expertise and knowledge on a wide array of commodities and topics to many internal and external stakeholders : Evaluate credit risk of prospective deals and propose mitigation strategies. Conduct credit ratings and analysis for both new and [. .. ]

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Job gestern bei Jobleads gefunden Senior Analyst-Projects Analytics (Market Financial Risk) Senior Analyst-Projects Analytics (Market Financial Risk) About The Company Our client is a growing and market leading retail bank with a great reputation and a very strong risk [...]
MEHR INFOS ZUM STELLENANGEBOT[...] team. As part of the organisations ongoing risk uplift programme, a new role has been created for an experienced Senior Risk Analyst to work across projects and analytics. About The Job Reporting to the Senior Manager-Market Risk you will provide expert insight and guidance on a number of key risk areas including liquidity, funding, interest rate, counterparty credit and capital risk. You will have experience in both creating and reviewing financial risk projects and models as well as strong data analytics capabilities to work closely with business stakeholders to drive risk insights and create relevant dashboards and reporting from scratch. You will be well informed in the latest best practices in market risk management, financial instrument valuation and market risk modelling and will collaborate closely with your line 1 colleagues to embed a strong, robust and modern [. .. ]

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Job vor 2 Tagen bei Jobleads gefunden

Credit Risk Analyst (all genders)

• Berlin [. .. ] an impact in global finance? Join Westcon-Comstor, a global leader in IT distribution, and help shape financial strategy across high-growth European markets. Were looking for a German-speaking [...]
MEHR INFOS ZUM STELLENANGEBOT[...] Credit Risk Analyst to manage trade credit risk, ensure compliance, and protect our financial health. This role blends financial analysis, risk assessment, and stakeholder engagement perfect for someone who thrives on detail and collaboration. Your Responsibilities: Assess and manage credit risk across Europe Review financial statements and maintain credit facilities Support collections and insurance compliance Deliver insightful reporting and analysis What We Need: Business fluency in German and English Strong credit risk experience in a multinational environment Advanced Excel and reporting skills 30 days vacation and up to 30 days workation per year Regular company events: We live team spirit On-the-job training and extensive development opportunities Job Rad leasing: Mobility reimagined Company [. .. ]

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Job vor 2 Tagen bei Jobleads gefunden Rating Analyst (EMEA) Rating Analyst (EMEA) Particula Hi, we are Particula, the leading rating and monitoring platform for digital assets Our mission? To make the market for digital assets more accessible, secure [...]
MEHR INFOS ZUM STELLENANGEBOT[...] and transparent for institutional investors. We support issuers, trading facilities, banks and asset managers to create trust, minimize risks and allocate capital effectively. [. .. ] and shape the future of the financial world with us About the Role We are seeking a motivated and detailoriented Research Analyst with a strong background in financial analysis and credit ratings. In this role, you will play a key part in advancing our rating and monitoring platform for digital assets. You will collaborate with crossfunctional teams to ensure our methodologies remain at the forefront of industry standards and deliver actionable insights to our clients. The ideal candidate (m/f/d) would have a minimum of 3+ years of proven experience in the financial industry, with a strong focus on credit risk and credit ratings. They would also bring an understanding of structured finance risk management practices, which would be considered an advantage. Familiarity with realworld assets (RWA) / tokenization, smart contracts, and blockchain technology is essential, along with a passion for digital assets and a drive to innovate in a rapidly [. .. ] write comprehensive rating reports, including conceptualization, data analysis and clear presentation of results. Coordinate internal requirements and constraints with developers, marketing, sales and external partners to ensure product alignment with business objectives and customer needs. Ensure that research activities and data aggregation meet the highest quality standards and comply with relevant laws and regulations. Seek opportunities to continuously improve data collection, automation, analytics and reporting processes. Keep ahead of industry best practices. Improve our holistic rating framework by ensuring the accuracy [. .. ]

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Job vor 3 Tagen bei Jobleads gefunden Quantitative Risk Analyst (f/m/d) (Essen, DE) • Essen, Nordrhein- Westfalen Sabbaticals [. .. ] E. ON Energy Markets Gmb H (EEM) is a subsidiary of the E. ON Group based in Essen. Our main purpose is to coordinate access to trading [...]
MEHR INFOS ZUM STELLENANGEBOT[...] markets for our regional business units, to bundle the associated chances and risks plus to provide innovative services. Our core competencies include portfolio strategies, risk management and data processing. With activities in various European countries, we shape the future of energy. At E. ON diversity matters. We welcome all people and are convinced that differences make us stronger. Become part of our inclusive and diverse company culture To create equal opportunities for everyone we offer our positions in full or part-time. Ready to become a Playmaker of the energy transition? Join our team in Essen and apply online as Quantitative Risk Analyst (f/m/d) . Are you brave enough to drive progress and forge new paths? Lets make it work and create real impact together. We cant wait to meet you Its on us, to make new energy work. Responsibilities Work in a highly experienced, collaborative, international, fun team that sits [. .. ] end-to-end ownership of models : from idea and research, through prototype, to robust, cloud-native production implementation. Develop, maintain, and enhance quantitative risk and pricing models for market, credit, and liquidity risk, including simulation and valuation tools for complex energy portfolios. Design and run Monte Carlo and scenario simulations (e. g. for P L, exposure, stress and what-if analyses) to support decision-making on transaction, portfolio, and business level. Implement models and analytics in Python as part of [. .. ]

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Job vor 3 Tagen bei Jobleads gefunden Credit Risk Analyst (m/f/d) - Trading • Karlsruhe, Baden- Württemberg A wide range of tasks The Credit Risk Team oversees the counterparty onboarding process for all trading activities-pipeline flow, seaborne activities and more structured deals such as PPAs-from the [...]
MEHR INFOS ZUM STELLENANGEBOT[...] KYC to Agreements negotiation and management the credit risk arising in the Trading Business unit. With a relatively flat structure, you will learn but also provide your expertise and knowledge on a wide array of commodities and topics to many internal and external stakeholders: Evaluate credit risk of prospective deals and propose mitigation strategies. Conduct credit ratings and analysis for both new and existing [. .. ]

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Job vor 3 Tagen bei Jobleads gefunden Accounting Analyst • Düsseldorf, Nordrhein- Westfalen Duesseldorf Homeoffice möglich [. .. ] meaningful impact is rewarded. Would you like to work for one of the Worlds largest banks in an exciting, dynamic and international environment? We are currently looking [...]
MEHR INFOS ZUM STELLENANGEBOT[...] for an Accounting Analyst in Amsterdam or Düsseldorf. About MUFG Mitsubishi UFJ Financial Group, Inc. (MUFG) is one of the worlds leading financial groups. Headquartered in Tokyo and with over 360 years of history, MUFG has a global network with approximately 2, 000 locations in more than 40 countries. The Group has about 120, 000 employees and offers services including commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. The Group aims to be the worlds most trusted financial group through close collaboration among our operating companies and flexibly respond to all of the financial needs of our customers, serving society, and fostering shared and sustainable growth for a better world. MUFGs [. .. ] bespoke solutions. With 73 green, sustainability, sustainabilitylinked and transition bond tranches in 2021 and 51 sustainabilitylinked loans in EMEA in 2021, MUFG is committed to supporting clients to achieve sustainable business growth. Please visit our website for more information Function positioning The function forms part of Finance Division, responsible for Financial accounting of JGAAP (MUFG group reporting purpose) and IFRS (MBE local reporting purpose) . The task of the Finance Division is to manage all accounting activities and processes to ensure [. .. ] by reading internal bulletins regarding his/ her area and by external or internal education. Verbal and written communication skills in English are essential. Personal requirements : Integrity and Responsibility Balance Risk with Opportunity Customer Focus Demonstrate Global Perspective Professionalism and Teamwork Drive For Results Collaborate and Build Partnerships Communicate Effectively and Professionally Challenge Ourselves To Grow Influence and Inspire Others Lead Change Seek Continuous Improvement Think Strategically Manage and Develop Talent What do we have to offer : We offer you [. .. ]

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Job vor 3 Tagen bei Jobleads gefunden Rating Analyst (EMEA) • München, Bayern [. .. ] risks and allocate capital effectively. Join our team and shape the future of the financial world with us About the Role We are seeking a motivated and [...]
MEHR INFOS ZUM STELLENANGEBOT[...] detail-oriented Research Analyst with a strong background in financial analysis and credit ratings. In this role, you will play a key part in advancing our rating and monitoring platform for digital assets. You will collaborate with crossfunctional teams to ensure our methodologies remain at the forefront of industry standards and deliver actionable insights to our clients. The ideal candidate (m/f/d) would have a minimum of 3+ years of proven experience in the financial industry, with a strong focus on credit risk and credit ratings. They would also bring an understanding of structured finance risk management practices, which would be considered an advantage. Familiarity with realworld assets (RWA) / tokenization, smart contracts, and blockchain technology is essential, along with a passion for digital assets and a drive to innovate in a rapidly [. .. ] write comprehensive rating reports, including conceptualization, data analysis and clear presentation of results. Coordinate internal requirements and constraints with developers, marketing, sales and external partners to ensure product alignment with business objectives and customer needs. Ensure that research activities and data aggregation meet the highest quality standards and comply with relevant laws and regulations. Seek opportunities to continuously improve data collection, automation, analytics and reporting processes. Keep ahead of industry best practices. Improve our holistic rating framework by ensuring the accuracy [. .. ]

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Job vor 4 Tagen bei Jobleads gefunden Analyst Credit Risk Management-Financial Institutions Insurance (w/m/d) Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Vermögenswirksame Leistungen Job description Für unsere Niederlassung in Frankfurt am Main suchen wir zum nächstmöglichen Zeitpunkt eine/n engagierte/ n Credit Risk Management Analyst für FI Insurances (w/m/d) Unser Risk Permanent [...]
MEHR INFOS ZUM STELLENANGEBOT[...] Control Team ist für die unabhängige Bewertung von Transaktionsrisiken für Finanzinstitute, Versicherungen und Vermögensverwalter zuständig. Sie werden bei uns vollständig in ein internationales Team mit 9 Mitarbeiter:innen integriert, welches für die Vergabe von Risikobewertung verantwortlich ist und sicherstellt, dass unsere Analysestandards [. .. ] für Finanzinstitute, Asset Manager und Versicherer Bewertung von strukturierten Transaktionen insbesondere im Zusammenhang mit Unternehmensakquisitionen Erstellung interner Ratings and Initiierung des Validierungsprozesses Enger Austausch mit Kollegen der Marktseite (Client Coverage, Business Lines) sowie sonstigen Stakeholdern Aktive Teilnahme an relevanten Kreditkomitees und Darlegung der schriftlich verfassten Risikoeinschätzung in Verbindung mit einer klaren Handlungsempfehlung Ansprechpartner der Geschäftsführung in risikorelevanten Fragen bzgl. Branchenumfeld und -ausblick sowie hinsichtlich aktueller Änderungen des regulatorischen Rahmens Das bringen Sie mit: 1-2 Jahre einschlägige Erfahrung im Kreditbereich (Risikomanagement) [. .. ]

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Häufig gestellte Fragen

Wieviel verdient man als Credit Risk Business Analyst pro Jahr?

Als Credit Risk Business Analyst verdient man zwischen EUR 55.000,- bis EUR 85.000,- im Jahr.


Wieviele offene Stellenangebote gibt es für Credit Risk Business Analyst Jobs bei unserer Jobsuche?

Aktuell gibt es auf JobRobot 95 offene Stellenanzeigen für Credit Risk Business Analyst Jobs.


Wieviele Unternehmen suchen nach Bewerbern für Credit Risk Business Analyst Jobs?

Aktuell suchen 15 Unternehmen nach Bewerbern für Credit Risk Business Analyst Jobs.


Welche Unternehmen suchen nach Bewerbern für Credit Risk Business Analyst Stellenangebote?

Aktuell suchen zum Beispiel folgende Unternehmen nach Bewerbern für Credit Risk Business Analyst Stellenangebote:


  • E. ON Energy Markets GmbH (6 Jobs)
  • DE011 Oliver Wyman GmbH (5 Jobs)
  • PIMCO (2 Jobs)
  • Particula (1 Job)
  • PS Direkt GmbH Co. KG (1 Job)
  • Selby Jennings (1 Job)


In welchen Bundesländern werden die meisten Credit Risk Business Analyst Jobs angeboten?

Die meisten Stellenanzeigen für Credit Risk Business Analyst Jobs werden derzeit in Berlin (22 Jobs), Nordrhein-Westfalen (11 Jobs) und Bayern (7 Jobs) angeboten.


Zu welchem Berufsfeld gehören Credit Risk Business Analyst Jobs?

Credit Risk Business Analyst Jobs gehören zum Berufsfeld Finanzwesen.


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