... in the bank. - Values | In addition to U.S. Bank core values, we prioritize collaboration, integrity, simplicity, and continuous learning. About the Role The Credit Risk Data Strategy team within Credit Risk Management is seeking a Data Lead with strong SQL and Python skills, a solid understanding of data architecture and ...
... independent risk management function within Citi's Banking and International Risk (BIR) division. Our group is responsible for establishing and monitoring wholesale risk ratings, credit limits, reserve forecasting, and stress https://jobeax.com/link/BESUbZa4t9JljVp1 PMG, the Risk Rating team defines and oversees our wholesale ...
... experts helping financial institutions and large corporations in Poland and beyond tackle risk management challenges - from market and credit risk to operational risk and regulatory compliance. We’re excited to share some big news: we’ve launched a new specialist group that works closely with PwC Germany’s Risk and Regulatory ...
... into functional concepts and configurations, including credit master data, credit limits, risk categories, scoring logic, exposure monitoring and automated credit checks. Together with an interdisciplinary team, you ensure seamless integration between Credit Management, Sales and Distribution, and Accounts Receivable, ...
ING Hubs Poland is seeking a Risk AI Data Scientist to integrate advanced AI into the bank's risk framework, focusing on credit risk model maintenance. You will work with LLMs, GenAI, and RAG, handling unstructured data and building end-to-end pipelines in Azure DevOps. The role requires a Master’s degree in a related field ...
... and financing solutions nationwide. You will be instrumental in achieving core business goals, focusing on the optimization of credit risk, limit management, credit bureau reporting, BI tool development, and risk cost reduction. If you are passionate about designing new processes, utilizing data for risk management, and ...
... created datasets are in line with their expectations. Information about the team: Credit Risk Model Development is an international, global team (more than 400 risk experts) located in different locations in Europe (e.g., Amsterdam, Milan, Warsaw). The key responsibility is development of robust credit risk models firmly ...
... created datasets are in line with their expectations. Information about the team: Credit Risk Model Development is an international, global team (more than 400 risk experts) located in different locations in Europe (e.g., Amsterdam, Milan, Warsaw). The key responsibility is development of robust credit risk models firmly ...
We are seeking a Lead Java Full Stack Engineer to accelerate modernization work across credit risk workflows, model integration, and DB2-exit-adjacent data modernization. This role sits within the risk management function, where credit officers review counterparties through business workflows relying on model-generated ...
We are seeking a Lead Java Full Stack Engineer to accelerate modernization work across credit risk workflows, model integration, and DB2-exit-adjacent data modernization. This role sits within the risk management function, where credit officers review counterparties through business workflows relying on model-generated ...
We are seeking a Lead Java Full Stack Engineer to accelerate modernization work across credit risk workflows, model integration, and DB2-exit-adjacent data modernization. This role sits within the risk management function, where credit officers review counterparties through business workflows relying on model-generated ...
... Danish and English Collections Analyst with Danish and English THE WORK: - Manage collections on a dedicated portfolio, including proactively applying payments, credits, and reconciling accounts. - Thrive on continuous advancement by conducting credit checks, evaluating credit risk, and assessing customer behavior. - Collaborate ...
Citi Solutions Centre Poland invites you to join the Credit Risk Model Overlays Officer role within the Wholesale Credit Solutions group. You will analyze model outputs, determine overlays, and prepare governance documentation. The role requires 6+ years in finance, CCAR/CECL experience preferred, and Python plus Excel ...
... troubleshootingFamiliarity with Calypso logs, engine outputs, and Java stack tracesExperience supporting interfaces with upstream and downstream systems such as Murex, Swift, GL, and risk enginesBackground in supporting asset classes such as FX, Rates, Credit, MM, and DerivativesSkills in incident triage, root cause analysis, and escalation to ...
... troubleshootingFamiliarity with Calypso logs, engine outputs, and Java stack tracesExperience supporting interfaces with upstream and downstream systems such as Murex, Swift, GL, and risk enginesBackground in supporting asset classes such as FX, Rates, Credit, MM, and DerivativesSkills in incident triage, root cause analysis, and escalation to ...
... troubleshootingFamiliarity with Calypso logs, engine outputs, and Java stack tracesExperience supporting interfaces with upstream and downstream systems such as Murex, Swift, GL, and risk enginesBackground in supporting asset classes such as FX, Rates, Credit, MM, and DerivativesSkills in incident triage, root cause analysis, and escalation to ...
... EBA dot. udzielania i monitorowania kredytów) jak również grupy ING oraz ocena ich wpływu na obowiązujące w Banku polityki kredytowe - Współpraca z zespołami Credit Risk, Compliance, Prawnym oraz jednostkami biznesowymi przy wdrażaniu nowych lub zmienionych wymogów regulacyjnych - Przygotowywanie analiz, rekomendacji i dokumentacji ...
... assessments of corporate and SME counterparties - analysing financials, key risk drivers, and business models - recommending internal ratings, PD views, and credit limits - monitoring developments across the portfolio and flagging emerging risks - advising stakeholders on credit risk and mitigation options - engaging with ...
... process. The ideal candidate has strong programming skills, enjoys solving technical challenges, and thrives in a collaborative environment where technology and risk management intersect. Your responsibilities - Develop and maintain Python-based components for the credit risk model lifecycle. - Re-engineering a model production ...
... transparency. What we’ll need from you Previous experience in banking and financial services industry preferred Familiar with the financial markets’ instruments and Credit Risk - Good understanding of Credit risk with focus on derivatives and security financing transactions Proficient in MS-Excel and data analytics (Tableau / Power ...