activities. In particular, the Mark to Market Portfolio Risk Management structure is responsible for assessments and analysis... aimed at ensuring efficient management of portfolio risk, through the definition of methodologies and processes...
department) is seeking a Credit Analyst, who will be responsible for Credit analysis and monitoring of a portfolio of Italian...Job Description: The Credit Risk Management Corporate Bank & Investment Bank unit (within Chief Risk Officer...
department) is seeking a Credit Analyst, who will be responsible for Credit analysis and monitoring of a portfolio of Italian... success and financial security. The Credit Risk Management Corporate Bank & Investment Bank unit (within Chief Risk Officer...
success and financial security. Financial Resource Management Sector is seeking a candidate to join the team as analyst role...) in all the matters related to liquidity, funding, interest rate risk management and capital/RWA optimization...
For the Central Team of Generali Global Corporate & Commercial (GC&C), we are looking for a Data Science Analyst... for comprehensive technical analysis, pricing strategies, and effective portfolio management. With a dynamic, cross-functional approach...
support for investment activity pipeline, property development, investor requests and portfolio risk assessments Facilitate...We are looking for young talents motivated to enrich their professional curriculum as Fund Management Analyst in the...
of renewable energy projects across Italy and beyond. Our portfolio includes solar, wind, and battery storage assets, contributing... to the energy transition and a sustainable future. Job Overview We are seeking a highly motivated Investment Analyst...
professional. During your time in Heritage, you will get exposure to multiple workstreams such as: Portfolio Analysis: Help... in monitoring, analyzing and optimizing investment portfolios, including performance tracking and risk analysis. Data Management...
. Managing the relationships for a portfolio of clients exposes the analysts to a wide range of institution types and ensures... to understand and analyze key drivers of risk and return and confidently build more effective portfolios. We create industry-leading...
Company sustainability risk assessment methodology, managing the ESG scores and ratings, and leading the definition... and critical thinking Support Portfolio Managers to make investment decisions based on both investment and ESG knowledge. Help...