70 Jobs für Rating Risk Manager
Stellenangebote Rating Risk Manager Jobs
Job am 21.01.2026 bei Jooble gefunden
Moodys Corporation
• Frankfurt am Main
[. .. ] welcome to be who they arewith the freedom to exchange ideas, think innovatively, and listen to each other and customers in meaningful ways. Moodys is transforming how [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] the world sees risk. As a global leader in ratings and integrated risk assessment, were advancing AI to move from insight to actionenabling intelligence that not only understands complexity but responds to it. We decode risk to unlock opportunity, helping our clients navigate uncertainty with clarity, speed, and confidence. If you are excited about [. .. ] curiosity, champion diverse perspectives, turn inputs into actions, and uphold trust through integrity. Skills and Competencies 7 to 10 years of experience leading complex, cross-functional projects as a Delivery Manager/ Scrum Master with successful outcomes using agile and lean principles Strong stakeholder management across complex stakeholder relationships Strong analytical and critical thinking skills for problem-solving and change management Strong negotiation skills in de-escalating interpersonal, inter-team conflicts Strong interpersonal, written, and verbal communication skills A high level of [. .. ] project portfolio reporting Adaptability is essential to handle changing project requirements and ensure continuity About the Team MMDG is responsible for the development and maintenance of Moody s Ratings credit rating methodologies and assessment frameworks. MMDG also provides and maintains credit rating quantitative tools (CRQTs) , including models, scorecards and other related analytical tools used in the rating process. Our credit rating methodologies comprise quantitative and qualitative factors and go through rigorous research, constructive challenge, testing, verification and review before they [. .. ]
▶ Zur Stellenanzeige
Job am 18.01.2026 bei Jooble gefunden
Sportradar
Manager Treasury (m/f/d)
• München
[. .. ] most recent highlights in company history. Due to the fast growth, the Treasury Department which is located in Munich, Germany, and in Minneapolis, US, is in the [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] search for a Manager Treasury to help build out the Treasury landscape within Sportradar Group. The office location for this permanent job occupation shall be in Munich, Germany. THE CHALLENGE: Working closely with the Senior Treasury Management on daily operations and on strategic projects Acting as a Treasury partner for our Group entities, coordinating [. .. ] implementation of our Treasury Management System Kyriba Management of FX and interest rate exposures and helping to develop a hedging strategy Support of managing of the Groups global banking and rating agency relationships Monitoring and reporting debt covenants of the credit facility agreement Support of Investment of cash in excess into interest bearing accounts Supporting on the treasury aspects of all M A activities undertaken by the Group and managing the post-merger integration of new subsidiaries into the Group from [. .. ] focus on Finance and/or Economics Preferred 5+ years of experience in Treasury, Controlling or Finance, or in a similar Treasury position Advanced knowledge of cash management, financial analysis, treasury risk management and project management, including experience with treasury tools and bank connectivity (TMS, e Banking) Ability to interact and communicate with senior management English language is a must, German language skills advantageous OUR OFFER: A collaborative environment with colleagues from all over the world (Offices in Europe, Asia and US) including [. .. ]
▶ Zur Stellenanzeige
Job am 15.01.2026 bei Jooble gefunden
CEEZER Software GmbH
• Berlin
[. .. ] and data-led insights. Use your skills to tackle one of the most critical challenges humanity has ever faced: climate change. We are looking for a highly motivated [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Impact Carbon Manager (f/d/m) with a focus on durable carbon removal (CDR) , serving as the primary point of contact for the worlds most innovative project developers. YOUR MISSION Establish, nurture, and expand long-term relationships with durable CDR project developers to ensure a consistent and high-quality credit supply. Drive [. .. ] YOU NEED TO SUCCEED Previous experience in account management, partnerships, or business development within the carbon markets. A strong existing professional network of project developers and other service providers (registries, rating agencies) within the durable CDR space. Deep knowledge of durable CDR technologies (e. g. biochar, BECCS, DAC, and enhanced weathering) and carbon market mechanisms. Curious and motivated to deepen your expertise further to become a trusted expert within the company. Strong customer and result orientation with a focus on building [. .. ] can see: Be part of transforming how global enterprise companies approach climate assets. Our platform delivers unprecedented access to more than 10, 000 global projects, backed by sophisticated data, rigorous risk and due diligence, and guided through expert support. A net-zero career from day one: As of your first day, your professional and personal carbon footprint is removed. Because at CEEZER, sustainability isn t just our mission, it s how we operate. EXCITED TO CREATE IMPACT WITH US? If you [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
TARGOBANK
Wertpapieranalyst
• Düsseldorf
Homeoffice möglich
Firmenwagen Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Work-Life-Balance
Bank. Senior) Scoring/
Rating Analyst (w/m/d) TARGOBANK als Arbeitgeberin BANK. Erarbeitung von Entscheidungsgrundsätzen zur Einführung neuer Strategien zur Risikooptimierung im Risikomanagement Leitung und/oder Unterstützung bei großen bankweiten Projekten Mindestens drei [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Jahre Berufserfahrung im Risikomanagement-vorzugsweise in der Entwicklung/ Überwachung von Scorekarten, Ratingmodelle Idealerweise Erfahrung im Risikomanagement im Bereich B2C, B2B und [. .. ] unabhängig von Behinderung, Alter, Geschlecht, Religion 8 verfügbare Jobs für den Bereich Kredit-Risikomanagement Eine Bank, viele Perspektiven jetzt bewerben und Teil der TARGOBANK werden. Kredit-Risikomanagement Senior Non-Financial Risk Manager (w/m/d) Kredit-Risikomanagement Risikocontroller (w/m/d) Kredit-Risikomanagement Senior Risk Governance Manager (w/m/d) Kredit-Risikomanagement 75038877 [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jooble gefunden
Scope SE Co. KGaA
• Berlin
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jooble gefunden
Scope SE Co. KGaA
General Support Manager (m/w/d)
• Berlin
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jooble gefunden
Scope SE Co. KGaA
• Berlin
Führungs-/ Leitungspositionen
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jooble gefunden
Scope SE Co. KGaA
Director-Tax Management
• Berlin
Führungs-/ Leitungspositionen
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jooble gefunden
Scope SE Co. KGaA
• Berlin
Führungs-/ Leitungspositionen
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 9 Tagen bei Jooble gefunden
Investment Manager Real Assets-Alternative Investments (m/f/d)
• München
Work-Life-Balance
[. .. ] the capital markets. Within this challenging environment you strengthen the team Real Assets Alternative Investments which covers the asset classes like infrastructure, real estate, agriculture, and forestry [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] as an Investment Manager. Your Job Analysing market trends and giving input to the capital market views of GIM Analysis and assessing of risk-return characteristics of the individual investment as well as in portfolio context Support defining Investment Guidelines by setting specific limits as well as qualitative constraints Assessment of individual transactions and the stability of assumptions in the financial model Analysis of potential accounting effects (IFRS, local GAAP) of a single investments [. .. ] of transactions) Knowledge about project/ corporate valuation Experience in modelling the risks of capital investments Good macroeconomic and technical understanding Understanding of the restrictions for the investment process (such as rating, solvency, accounting, taxes) of an (re-) insurance company and the various legal units Knowledge of quantitative methodologies and procedures in asset management, e. g. financial mathematics, statistics, data analysis and portfolio optimization etc. Strategic thinker and a pragmatic problem solver possessing initiative, creativity, assertiveness and the ability to work [. .. ]
▶ Zur Stellenanzeige
Job vor 10 Tagen bei Jooble gefunden
Moodys
AVP-Business Delivery Manager
• Frankfurt am Main
[. .. ] welcome to be who they arewith the freedom to exchange ideas, think innovatively, and listen to each other and customers in meaningful ways. Moodys is transforming how [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] the world sees risk. As a global leader in ratings and integrated risk assessment, were advancing AI to move from insight to actionenabling intelligence that not only understands complexity but responds to it. We decode risk to unlock opportunity, helping our clients navigate uncertainty with clarity, speed, and confidence. If you are excited about [. .. ] curiosity, champion diverse perspectives, turn inputs into actions, and uphold trust through integrity. Skills and Competencies 7 to 10 years of experience leading complex, cross-functional projects as a Delivery Manager/ Scrum Master with successful outcomes using agile and lean principles Strong stakeholder management across complex stakeholder relationships Strong analytical and critical thinking skills for problem-solving and change management Strong negotiation skills in de-escalating interpersonal, inter-team conflicts Strong interpersonal, written, and verbal communication skills A high level of [. .. ] project portfolio reporting Adaptability is essential to handle changing project requirements and ensure continuity About the Team MMDG is responsible for the development and maintenance of Moody s Ratings credit rating methodologies and assessment frameworks. MMDG also provides and maintains credit rating quantitative tools (CRQTs) , including models, scorecards and other related analytical tools used in the rating process. Our credit rating methodologies comprise quantitative and qualitative factors and go through rigorous research, constructive challenge, testing, verification and review before they [. .. ]
▶ Zur Stellenanzeige
Job am 17.01.2026 bei Jooble gefunden
Scope SE Co. KGaA
Specialist-Information Security
• Berlin
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] ID (Identity Protection and Privilege Access Management, Conditional Access App Control) , and Microsoft Security Portals Knowledge in the implementation of Information Security frameworks like ISO 27001 Certified Information Security Manager (CISM) or equivalent certification Certified Ethical Hacking (CEH) or equivalent certification Microsoft Azure and Security Certifications will be a plus Ability to meet deadlines, motivate others to do the same, and manage stress effectively in high-pressure situations Ability to take ownership and responsibility of tasks and projects that involve [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
TARGOBANK
• Münster
Homeoffice möglich
Firmenwagen Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Work-Life-Balance
[. .. ] und Verfahren im Rahmen von ICAAP, ILAAP und CSRBB Validierung der Risikosteuerungs- und Risikocontrollingprozesse Umsetzung von regulatorischen Anforderungen an das Risikocontrolling/-management Verstärkung der Risikocontrolling-Funktion im Rahmen der [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Ma Risk Dein Profil Abgeschlossenes Studium der Mathematik, Physik, Wirtschaftswissenschaften oder in einem vergleichbaren Studiengang (z. B. MBA, FRM, CFA) Erfahrungen im Bereich Risikocontrolling/ Risikomanagement/ Controlling/ Finanzen/ Wirtschaftsprüfung Sehr gute analytische Fähigkeiten und eine hohe Zahlenaffinität Hohes Maß an Zuverlässigkeit und Belastbarkeit Sicherer Umgang mit dem MS-Office-Paket, insbesondere mit Excel [. .. ] 10 verfügbare Jobs für den Bereich Kredit-Risikomanagement Eine Bank, viele Perspektiven jetzt bewerben und Teil der TARGOBANK werden. Kreditanalyst Corporate (w/m/d) Düsseldorf Kredit-Risikomanagement Düsseldorf (Senior) Scoring/ Rating Analyst (w/m/d) Kredit-Risikomanagement Düsseldorf Senior Spezialist Kreditprozesse Regulatorik Firmenkunden (w/m/d) in Düsseldorf Kredit-Risikomanagement Düsseldorf Senior Non-Financial Risk Manager (w/m/d) Kredit-Risikomanagement Düsseldorf 76010602 [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
TARGOBANK
Data Risk Manager (m/w/d)
• Münster
Homeoffice möglich
Firmenwagen Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Work-Life-Balance
[. .. ] und Verfahren im Rahmen von ICAAP, ILAAP und CSRBB Validierung der Risikosteuerungs- und Risikocontrollingprozesse Umsetzung von regulatorischen Anforderungen an das Risikocontrolling/-management Verstärkung der Risikocontrolling-Funktion im Rahmen der [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Ma Risk Dein Profil Abgeschlossenes Studium der Mathematik, Physik, Wirtschaftswissenschaften oder in einem vergleichbaren Studiengang (z. B. MBA, FRM, CFA) Erfahrungen im Bereich Risikocontrolling/ Risikomanagement/ Controlling/ Finanzen/ Wirtschaftsprüfung Sehr gute analytische Fähigkeiten und eine hohe Zahlenaffinität Hohes Maß an Zuverlässigkeit und Belastbarkeit Sicherer Umgang mit dem MS-Office-Paket, insbesondere mit Excel [. .. ] 10 verfügbare Jobs für den Bereich Kredit-Risikomanagement Eine Bank, viele Perspektiven jetzt bewerben und Teil der TARGOBANK werden. Kreditanalyst Corporate (w/m/d) Düsseldorf Kredit-Risikomanagement Düsseldorf (Senior) Scoring/ Rating Analyst (w/m/d) Kredit-Risikomanagement Düsseldorf Senior Spezialist Kreditprozesse Regulatorik Firmenkunden (w/m/d) in Düsseldorf Kredit-Risikomanagement Düsseldorf Senior Non-Financial Risk Manager (w/m/d) Kredit-Risikomanagement Düsseldorf 76010600 [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
parcelLab
• München
Homeoffice möglich
[. .. ] All Saints, and others transform every touchpoint into moments that drive customer engagement, build loyalty, and create customers for life. We are looking for a full-time Digital [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Customer Success Manager to join our global Customer Success team. This role is focused on driving adoption, value, and retention at scale across a portfolio of customers, using a digital-first, data-driven Customer Success approach. The Role: The Customer Success team is responsible for ensuring our customers continuously realize value from parcel Lab [. .. ] deep understanding of your customers business goals, operational challenges, and KPIs, particularly across e-commerce, logistics, customer service, and post-purchase experience You proactively monitor health signals, usage data, and risk indicators, and intervene early to prevent churn or underperformance You guide customers on best practices, new features, and use cases, helping them continuously evolve their parcel Lab setup as their business grows You run structured success motions, including onboarding follow-ups, adoption check-ins, renewal readiness, and light commercial conversations where [. .. ] and regional meet-ups, as well as team off-sites Be part of a motivated, diverse and international team made up of over 25 different nationalities; and with a great rating for company culture and employee experience on Glassdoor, youll love working here About parcel Lab parcel Labs platform unifies every touchpoint from customer conversion, order tracking, delivery, returns, and engagement into one seamless ecosystem that not only reduces friction but actively drives repeat purchases, transforming post-purchase into a competitive advantage. [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
PS Direkt GmbH Co. KG
Credit Risk Manager (m/w/d)
• Köln
Homeoffice möglich Abgeschlossene Ausbildung
Work-Life-Balance
[. .. ] Kreditauszahlung, inklusive Bautenstandskontrollen Du überwachst die Bonität der Kunden anhand von Jahresabschlüssen, Planungsrechnungen und Vermögensunterlagen Du ermittelst die zukünftige Kapitaldienstfähigkeit und analysierst Risiken zur Früherkennung Du empfiehlst [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Up-/ Downgrades im Rating und leitest risikoreduzierende Maßnahmen ein Du begleitest Problemkredite im Sanierungsprozess und prüfst Sanierungskonzepte auf Plausibilität Du wirkst an internen Projekten und Prozessoptimierungen mit, um Qualität und Effizienz zu steigern Deine Fähigkeiten Du hast eine abgeschlossene Ausbildung als Bankkaufmann (m/w/d) mit Weiterbildung zum Bankfach-/ Betriebswirt, ein betriebswirtschaftliches Studium oder [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
AUTO1 Group
• Berlin
Work-Life-Balance
[. .. ] public market transactions, ensuring adequate processes are in place. Process Improvement Automation: Lead initiatives to automate and optimize ABS related processes, reducing manual workload and enhancing efficiency [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Work closely with rating agencies, partner and prospect banks, external law firms, back-up servicers and corporate service providers. Work closely with internal stakeholders, especially in Accounting, Cash Management and Reconciliation, Legal, Tax and Risk, Technology and Financial Systems, and FP A to ensure smooth operational processes. Qualifications Educational Background: Bachelors or Masters degree in Finance, Economics, Accounting, Business, or a related field Work Experience: Minimum of 3-5 years of experience in structured finance, ABS, securitization, or a related field, preferably within a financial [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
TARGOBANK
Risikocontroller (m/w/d) Bank
• Münster
Homeoffice möglich
Firmenwagen Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Work-Life-Balance
[. .. ] und Verfahren im Rahmen von ICAAP, ILAAP und CSRBB Validierung der Risikosteuerungs- und Risikocontrollingprozesse Umsetzung von regulatorischen Anforderungen an das Risikocontrolling/-management Verstärkung der Risikocontrolling-Funktion im Rahmen der [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Ma Risk Dein Profil Abgeschlossenes Studium der Mathematik, Physik, Wirtschaftswissenschaften oder in einem vergleichbaren Studiengang (z. B. MBA, FRM, CFA) Erfahrungen im Bereich Risikocontrolling/ Risikomanagement/ Controlling/ Finanzen/ Wirtschaftsprüfung Sehr gute analytische Fähigkeiten und eine hohe Zahlenaffinität Hohes Maß an Zuverlässigkeit und Belastbarkeit Sicherer Umgang mit dem MS-Office-Paket, insbesondere mit Excel [. .. ] 10 verfügbare Jobs für den Bereich Kredit-Risikomanagement Eine Bank, viele Perspektiven jetzt bewerben und Teil der TARGOBANK werden. Kreditanalyst Corporate (w/m/d) Düsseldorf Kredit-Risikomanagement Düsseldorf (Senior) Scoring/ Rating Analyst (w/m/d) Kredit-Risikomanagement Düsseldorf Senior Spezialist Kreditprozesse Regulatorik Firmenkunden (w/m/d) in Düsseldorf Kredit-Risikomanagement Düsseldorf Senior Non-Financial Risk Manager (w/m/d) Kredit-Risikomanagement Düsseldorf 76010603 [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
TARGOBANK
• Münster
Homeoffice möglich
Firmenwagen Flexible Arbeitszeiten Betriebliche Altersvorsorge Jobticket Work-Life-Balance
[. .. ] und Verfahren im Rahmen von ICAAP, ILAAP und CSRBB Validierung der Risikosteuerungs- und Risikocontrollingprozesse Umsetzung von regulatorischen Anforderungen an das Risikocontrolling/-management Verstärkung der Risikocontrolling-Funktion im Rahmen der [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] Ma Risk Dein Profil Abgeschlossenes Studium der Mathematik, Physik, Wirtschaftswissenschaften oder in einem vergleichbaren Studiengang (z. B. MBA, FRM, CFA) Erfahrungen im Bereich Risikocontrolling/ Risikomanagement/ Controlling/ Finanzen/ Wirtschaftsprüfung Sehr gute analytische Fähigkeiten und eine hohe Zahlenaffinität Hohes Maß an Zuverlässigkeit und Belastbarkeit Sicherer Umgang mit dem MS-Office-Paket, insbesondere mit Excel [. .. ] 10 verfügbare Jobs für den Bereich Kredit-Risikomanagement Eine Bank, viele Perspektiven jetzt bewerben und Teil der TARGOBANK werden. Kreditanalyst Corporate (w/m/d) Düsseldorf Kredit-Risikomanagement Düsseldorf (Senior) Scoring/ Rating Analyst (w/m/d) Kredit-Risikomanagement Düsseldorf Senior Spezialist Kreditprozesse Regulatorik Firmenkunden (w/m/d) in Düsseldorf Kredit-Risikomanagement Düsseldorf Senior Non-Financial Risk Manager (w/m/d) Kredit-Risikomanagement Düsseldorf 76010597 [. .. ]
▶ Zur Stellenanzeige
Job am 14.01.2026 bei Jooble gefunden
Scope SE Co. KGaA
Executive Chef-English Speaking
• Berlin
[. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ] contribute their best. Our dedication to equality and inclusivity reflects our belief that diversity drives innovation and success. Scope is looking for an experienced, dedicated and result-oriented International Tax Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties responsibilities Ensuring proper preparation of tax returns of our international [. .. ]
▶ Zur Stellenanzeige
Job vor 3 Tagen bei Jobleads gefunden
Director-Tax Management
• Berlin
Führungs-/ Leitungspositionen
Stellenbeschreibung Scope is looking for an experienced, dedicated and result-oriented International Tax
Manager to join Scopes Finance Team. The successful candidate is responsible for our tax compliance, transfer pricing [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] and expert opinions. You will be in contact with international and national tax consultants to ensure optimal cross-border consulting and specialist work. Duties Responsibilities Ensuring proper preparation of tax returns of our international [. .. ] Based on forward-looking and innovative methodologies, Scope offers a European perspective that contributes to greater diversity of opinion for institutional investors worldwide. Scope Ratings is the largest European credit rating agency, registered in accordance with EU and UK rating agency regulation, offering opinion-driven and non-mechanistic credit risk analysis. Scope ESG Analysis provides tools for analysing and reporting on ESG impact and risk, as well as second-party opinions on green, social and sustainable bonds. Scope Fund Analysis rates more than 10, 000 funds and asset managers across all major asset classes. At Scope Group, we are committed [. .. ]
▶ Zur Stellenanzeige
Job vor 8 Tagen bei Jobleads gefunden
Senior Director-Financial Institutions Insurance
• Frankfurt, Hesse
Führungs-/ Leitungspositionen
Senior Director-Financial Institutions Insurance Credit
Rating Job Description Summary This is a unique opportunity to join Scopes growing analytical franchise and contribute to the development of our rating coverage [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] in financial institutions. As the leading European rating agency, Scope is looking to reinforce its analytical capabilities in the field of insurance, consolidating its round product offering. [. .. ] capabilities, tools and methodologies Professional personal qualifications At least 10 years of relevant experience with internationally recognized financial institution such as a rating agency, investment bank, consultancy firm or asset manager, with a primary focus on insurance credit analysis. Masters degree in finance, banking, economics, statistics, mathematics, or equivalent qualification. Solid understanding of European insurance regulations and insurance trends. Extensive knowledge of different classes of insurance liabilities and their risk drivers. Excellent familiarity with numbers and accounting concepts applicable to insurance, as well as with financial ratios relevant for insurance analysis. High degree of self-organization with a demonstrated ability to deliver on projects and meet challenging internal and external deadlines Reliability and accountability, including the willingness to take responsibility [. .. ]
▶ Zur Stellenanzeige
Job vor 5 Tagen bei Jobleads gefunden
Manager Treasury (mfd)
• München, Bayern
[. .. ] one of the most recent highlights in company history. Due to fast growth the Treasury Department, located in Munich, Germany and in Minneapolis, US, is in the [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] search for a Manager Treasury to help build out the Treasury landscape within Sportradar Group. The office location for this permanent job occupies shall be in Munich Germany. The Challenge Working closely with the Senior Treasury Management on daily operations and on strategic projects Acting as a Treasury partner for our Group entities coordinating [. .. ] implementation of our Treasury Management System Kyriba Management of FX and interest rate exposures and helping to develop a hedging strategy Support of managing of the Groups global banking and rating agency relationships Monitoring and reporting debt covenants of the credit facility agreement Support of Investment of cash in excess into interest bearing accounts Supporting on the treasury aspects of all M A activities undertaken by the Group and managing the post-merger integration of new subsidiaries into the Group from [. .. ] focus on Finance and/or Economics Preferred 5 years of experience in Treasury Controlling or Finance or in a similar Treasury position Advanced knowledge of cash management, financial analysis, treasury risk management and project management including experience with treasury tools and bank connectivity (TMS, e Banking) Ability to interact and communicate with senior management English language is a must; German language skills advantageous Our Offer A collaborative environment with colleagues from all over the world (Offices in Europe, Asia and US) including [. .. ]
▶ Zur Stellenanzeige
Job vor 7 Tagen bei Jobleads gefunden
Oliver Wyman-Data Analytics Consulting-Analyst (m/f/d) - Berlin
Beratungs-/ Consultingtätigkeiten
[. .. ] and colleagues to share ideas. Your contributions will be invaluable to delivering impactful results for our clients. Notable projects include: Developing an NLP-based machine learning toolkit to [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] predict credit rating downgrades using news articles Modelling portfolio decarbonization strategies leveraging advanced analytics techniques for large European banks Optimizing and developing a promotional program using data from historical promotions for an Asian health beauty chain by deploying a promotion analytics toolkit Validating a customer-facing Gen AI chatbot for an American bank Developing [. .. ] default and loss models in Python for European and UK-based banks Identifying supply chain risks by combining multiple live data feeds, and developing and applying a bespoke AI based risk methodology Developing a next best action model to reduce customer churn for a global telecom company Why Join Us? Expect a steep learning curve, as no two projects are ever the same. Youll have the opportunity to travel internationally, gaining invaluable experiences and insights across different cultures and with access [. .. ] new endeavor. You wont be alone on this journey; various colleagues will guide and coach you throughout your career. Youll have a dedicated buddy, a career adviser, and a talent manager to help you navigate your professional path. We also care deeply about sustainable work-life quality, providing you with the flexibility to balance your career aspirations with your personal life. This role will empower you to embrace your curiosity and step out of your comfort zone. You will have the [. .. ]
▶ Zur Stellenanzeige
Job vor 9 Tagen bei Jobleads gefunden
Vice President-Infrastructure Debt (f/m/d)
• München, Bayern
Führungs-/ Leitungspositionen
Jobticket
[. .. ] debt investments in continental Europe under the high yield strategy (investments rated single and double B on new sectors such as BESS, EV charging, etc. ) , [...]
MEHR INFOS ZUM STELLENANGEBOT
[...] or with development risk or structurally subordinated. The successful candidate may also participate in fundraising efforts notably in relation to the high yield strategy. The new joiner will work closely with the team in London, Paris and New York, in a collaborative and high-performance environment. Allianz GI has more than 30 billion invested in [. .. ] and screen new investment opportunities; Assess opportunities and conduct the financial, legal, tax, insurance, commercial, technical and environmental due diligence; Undertake the risk and ESG assessment and conduct the internal rating of the transactions; Conduct the financial modelling of the investment opportunities; Structure the investments and negotiate the term sheets and the finance documentation with the issuers and the sponsors; Write, with the assistance of junior team members, the credit memoranda and present the investment opportunities to the Infrastructure Debt Investment [. .. ] (Jobrad bike leasing, Jobticket subvention) ; Career opportunities within Allianz Group; Self-guided learning and development; And more. About Allianz Global Investors Allianz Global Investors is a leading active asset manager, managing assets for individuals, families, and institutions worldwide. Allianz Group is one of the most trusted insurance and asset management companies, committed to empowering employees and promoting equal opportunities for all. Allianz stands for unity and a culture grounded in integrity, fairness, inclusion and trust. EEO and Application Information We [. .. ]
▶ Zur Stellenanzeige

1 von 3Weiter » Weitere Suchergebnisse laden »
Häufig gestellte Fragen
Wieviel verdient man als Rating Risk Manager pro Jahr?
Als Rating Risk Manager verdient man zwischen EUR 60.000,- bis EUR 90.000,- im Jahr.
Wieviele offene Stellenangebote gibt es für Rating Risk Manager Jobs bei unserer Jobsuche?
Aktuell gibt es auf JobRobot 70 offene Stellenanzeigen für Rating Risk Manager Jobs.
Wieviele Unternehmen suchen nach Bewerbern für Rating Risk Manager Jobs?
Aktuell suchen 17 Unternehmen nach Bewerbern für Rating Risk Manager Jobs.
Welche Unternehmen suchen nach Bewerbern für Rating Risk Manager Stellenangebote?
Aktuell suchen zum Beispiel folgende Unternehmen nach Bewerbern für Rating Risk Manager Stellenangebote:
- Scope SE Co. KGaA (7 Jobs)
- TARGOBANK (5 Jobs)
- DE011 Oliver Wyman GmbH (5 Jobs)
- Sportradar (2 Jobs)
- JLL (2 Jobs)
- Moodys Corporation (1 Job)
In welchen Bundesländern werden die meisten Rating Risk Manager Jobs angeboten?
Die meisten Stellenanzeigen für Rating Risk Manager Jobs werden derzeit in Berlin (21 Jobs), Bayern (12 Jobs) und Hamburg (5 Jobs) angeboten.
Zu welchem Berufsfeld gehören Rating Risk Manager Jobs?
Rating Risk Manager Jobs gehören zum Berufsfeld Finanzanalyse.