structure; liability management; liquidity and funding strategies; risk management; and investment solutions. Unique to Citi.... Corporate Bankers work in partnership with various Citi groups across the firm including Risk Management, Investment Banking...
by Power Finance & Risk, a top publication covering the energy project finance industry. In 2025, it won two Gold Stevie awards... management, financial analysis, credit memo preparation Financial modeling in excel of solar, wind, gas and battery storage...
Weekly Hours 40 Skills Analytical Thinking, Communication, Credit Risk Management, Financial Modeling, Microsoft Excel... corporate credit analysis and manage the credit relationship for clients to manage by regularly assessing the company, industry...
proposed transactions to management and credit risk management. In addition to conducting due diligence, the analyst... Banking. The Analyst will work on credit analysis, financial modeling, conduct due diligence on new transactions and present...
, and Portfolio Management to develop strategic target portfolio asset allocations for insurance clients, other institutional clients... management for insurance companies, other institutional investors and mutual funds Expertise in fixed income markets...
simultaneously Knowledge of credit agreement negotiation, legal documentation, and risk management. Ability to work independently... business and credit approval process by preparing credit applications and transaction memos for senior management...
Credit Risk Regulatory Capital Calculations / applications. Responsibilities: Collaborate with stakeholders, customers..., financial products, or application development. Strong understanding of Credit Risk, Counterparty Credit Risk, Regulatory...
, we deliver scalable solutions that enhance risk management and drive operational performance. Through strategic partnerships... and expert advisory solutions. Our award-winning cloud platform supports banks, credit unions, private equity firms, hedge funds...
/Banking/Credit/Payment industry is a strong plus Subsidiary: PayPal Travel Percent: 0 - PayPal is committed to fair... sources, which may include a bank account, a PayPal or Venmo account balance, PayPal and Venmo branded credit products...
& investment banking, asset management, insurance, and numerous others. Crédit Agricole Corporate & Investment Bank, a wholly owned... your findings to senior management Construct and maintain internal models to measure client profitability, risk weighted assets...
& investment banking, asset management, insurance, and numerous others. Crédit Agricole Corporate & Investment Bank, a wholly owned... your findings to senior management Construct and maintain internal models to measure client profitability, risk weighted assets...
management, insurance, and numerous others. Crédit Agricole Corporate & Investment Bank, a wholly owned subsidiary, provides... your findings to senior management Construct and maintain internal models to measure client profitability, risk weighted assets...
the complexity of transactions and related risk (credit, market, operational, legal/compliance, etc.). Provides feedback... offers a mix of products (High Yield bonds, leveraged loans, private credit) which help our clients facilitate Leveraged Buyouts...
Markets and Risk Management. LFU Associates will be actively involved in Citi’s credit approval and origination process...’s / University degree or equivalent experience Job Family Group: Risk Management Job Family: Credit Decisions Time...
within project finance & infrastructure or 5+ years of prior experience as a credit risk analyst Requires 5 years of experience...; and reviewing and stressing financial models to assess credit risk. Train junior members of the team on credit, legal...
and liquidity management. CFA (Chartered Financial Analyst) or equivalent preferred; advanced degrees are a plus. Technical... in portfolio construction, capital allocation, and risk management. Underwriting experience for co-investments and fund...
Management Analyst that supervises a team that provides vulnerability scanning services for ITS Portfolios, their client agencies... or Rochester. Under the direction of manager within the Chief Information Security Office/Governance, Risk, and Compliance...
valuation matters including exotic derivatives and customized portfolio analytics; risk management and derivatives hedging... office quantitative analyst in a hedge fund, asset manager, or bank developing and implementing models for valuation or risk...
valuation matters including exotic derivatives and customized portfolio analytics; risk management and derivatives hedging... office quantitative analyst in a hedge fund, asset manager, or bank developing and implementing models for valuation or risk...
to support client deliverables. Understands the complexity of transactions and related risk (credit, market, operational, legal... management skills. Exceptional skills in quantitative analytics, financial modeling and credit analysis skills. Expertise...