Senior Analyst - MRM Infrastructure
... of model development or model risk management processes. Strong understanding of ... . is HSBCs global finance, operations, risk and technology centre. We use ...
... of model development or model risk management processes. Strong understanding of ... . is HSBCs global finance, operations, risk and technology centre. We use ...
... in the area of credit risk models. Information about the squads: ... build and monitor credit risk models. I am looking for a specialist or expert with knowledge of risk data and credit risk processes (credit, restructuring, debt collection). Our teams ...
... of the Control Framework, including Risk Control Policy, Control Standard, Issue ... future events and where similar risk exposure might exist. Support the ... support sound operational and compliance risk management. What we’ll need from ...
... of the Control Framework, including Risk Control Policy, Control Standard, Issue ... future events and where similar risk exposure might exist. Support the ... support sound operational and compliance risk management. What we’ll need from ...
... Support business, finance, risk managers, fundamental credit risk, model validation, internal audit, and ... modeling. Wholesale credit risk experience is preferred. Good knowledge of bank stress testing in wholesale credit portfolios. Experience in CCAR EBA ...
... of model development or model risk management processes. Strong understanding of ... . is HSBCs global finance, operations, risk and technology centre. We use ...
... experience in designing Value at Risk reports, charts, dashboards and other risk metrics allowing Fast aggregation use ... experience in designing Value at Risk reports, charts, dashboards and other risk metrics allowing Fast aggregation use ...
... the methodologies to calculate counterparty credit risk exposures of OTC derivatives, exchanged- ... parameters in reference to internal risk management as well as regulatory measures of counterparty credit risk; Develop and implement methodologies, algorithms ...
... the methodologies to calculate counterparty credit risk exposures of OTC derivatives, exchanged- ... parameters in reference to internal risk management as well as regulatory measures of counterparty credit risk; Develop and implement methodologies, algorithms ...
... forecasting, stress testing, modeling market risk, operational risk and credit risk Cooperation with a high quality, ...