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Corporate Investment Banking, Corporate Finance, Financial Modelling, Credit Analysis, Business Valuation
, Investment Analysis
work experience in finance area is a must (Big 4 corporate finance, investment banking, fixed income / credit
departments) - Previous experience in credit (Fixed Income, Leveraged finance, Credit or Credit Trading
VTB Bank is looking for analyst for the Credit, Leveraged finance and Investments.
Main day-to-day responsibilities include: - Assisting senior colleagues in completion and delivery of credit
analysis (incl. building financial models and writing credit memos) - Drafting term sheets, facility
agreements and full set of documents necessary for internal credit processes - Preparing marketing
materials for syndication of credit transactions - Executing deals and communicating with deal team
motivation -Confident knowledge and skills in financial mathematics, corporate finance and financial analysis
-Development and analysis of potential equity and mezzanine opportunities -Support for deals execution
participation in structuring process -Preparation of financial models, business valuation, fundamental analysis
presentations, pitches, preparation of info memos and other materials -Gathering data for company and industry analysis
serious diseases -Financial assistance and social support, corporate pension program -Referential credit
Financial Analysis, Financial Planning, Financial Reporting, Financial Analytics, Management Reporting
And Analysis, Financial Management, Financial Risk Manager (FRM), Financial Modeling
o 1-3 years of experience in a financial analysis, accounting, or related role.
o Knowledge of financial reporting and data analysis.
In this role, you will engage in thorough analysis of financial data, and contribute to budgeting, forecasting
Specialist in management reporting and financial analysis (Junior to Mid-Level | Remote Work Option),
Risk Management, Credit Risk, ESG, Provision, Risk Assessment, Consulting, Risk Modelling, RWA, Stress
- Previous experience in credit and/or ESG risk management (at least 2-3 years).
Our projects are mostly related to the regulatory credit risk models development and validation activities
Pillar II economic capital modelling, stress testing, as well as business modelling (Collection, EWS, Credit
Preparation of presentations, complex financial models, analysis of trends and developments of specific
with advisers, lawyers, accountants and other counterparties • Preparation of comprehensive valuation analysis
serious diseases • Financial assistance and social support, corporate pension program • Referential credit
report, we analyze the current US stock market and future trend,deep diving on Apple with fundamental analysis
We also provide valuation model with scenarios analysis to determine Apple stock's intrinsic value.
Credit Risk, Risks, Risk Analysis, Portfolio Risk Management
PL), использование инструментов предиктивной аналитики; Навыки портфельного анализа (vintage analysis
A modeling, revenue and sales projections, market modeling, etc) • Provide financial and strategic analysis
market sizing, players, positioning, etc) o Competitive benchmarking o Consumer research/customer analysis
You will be engaged in variety of Strategy and M&A projects and responsible for performing financial analysis
Quick analysis wity sensitivities to key rate hikes to Ru public financials
Corporate Investment Banking, Macroeconomics, Macroeconomic Forecasting, Macroeconomic Analysis
CIB Research Group provides investment and market insights based on all-round in-depth fundamental analysis
of a macro research team with focus on macro forecasting and developing models • Perform dedicated analysis
Conduct selected thematic and sectoral studies from the macro view • Build scenario and stress-test analysis
As a first step before deep analysis of any particular company you may utilize a quantitative screening
The team actively participates in strategic analysis to support ALCo /Board/ Head of Treasury decision
Responsibilities: • contribute to strategic assessment, analysis and management of Capital by forecasting
meetings; • participation in hedging of banking book FX risk; • participation in FX PL decomposition analysis
; • participation in complex transactions analysis and structuring.
minutes Chile - Fiscal deficit rises to 7.4% of GDP in May Colombia - Fitch downgrades sovereign credit
Turkey - CPI inflation rises to below-forecast 19.9% y/y in October Egypt - Private business sector credit
EPFC Capital Partners LLC (EPFC Group) is a team of global credit markets experts with extensive experience