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Risk Management, Credit Risk, ESG, Provision, Risk Assessment, Consulting, Risk Modelling, RWA, Stress
Testing, Financial Risks
- 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
also expanded its focus to include projects that address Environmental, Social and Governance (ESG) risks
Risk Management (Senior) Associate / (Senior) Manager, PwC Germany
graduates are preferred); • have 1-2 years of experience in Finance; • experience in bank Treasury, Risk
Our team is responsible for capital steering, optimization as well as banking book FX risk control and
analysis to support ALCo /Board/ Head of Treasury decision making on the issues related to strategic FX risk
reports and presentations for regular ALCO meetings; • participation in hedging of banking book FX risk
Junior analyst, ALM, Capital and FX risk team, Райффайзенбанк
track-record and financial statements, talked to rating agencies and produced this report showing that risks
Adani Abbot Point Terminal bonds: risks aren't that high as the yield is
Finance, Russia, Risk Management, Data Science, Credit Risk, Scoring, Regulations, Russia And CIS, Machine
Learning (ML), Risk Modelling, Operational Risk, Digital Financial Assets
25-26 октября состоится 19-я конференция по управлению рисками в финансовом секторе - Russia Risk Conference
Finance, Business Support & Operations, Reporting, Business Processes, Regional Representative, Budgeting
, Optimization Of Business Processes, Chief Operations Officer (COO), Budget Planning
Operations manager, локация – Иран, Банк Топ-5
Russia, Centralbanking, Banking Operation, Macroeconomic Forecasting, Macroeconomic Analysis, Banking
Book Risks
Risk Management, Treasury, Open Currency Position, Short Term Liquidity, Interest Rate Position Management
, Risk Methodology, ALM Risks
ценных бумаг, денежного рынка, производных финансовых инструментов; владение методологией Value-at-Risk
Questions on sovereign bond issuance in Albania, the structural deficit of the Czech Republic, economic risks
forecasts Revenues to rise by 24% on greater tax collection amid economic recovery, but pandemic risks
Public debt payments rise to UZS 14.3tn, external sources to account for bulk of financing needs Risks
these markets based on our multidisciplinary expertise in macro trading and analysis, portfolio and risk
now and governor says this is reasonable Uncertainties regarding pandemic developments are major risks
CEEMEA, Russia, Risk Management, Credit Risk, Scoring, Corporate Credit Risk, Risk Analysis, Risk Modelling
, Model Risk Management, Operational Risk, Professional Risk Manager (PRM), Financial Risks
future trend,deep diving on Apple with fundamental analysis of Apple's MOAT, investment thesis and risk
banks – regulators will continue to pacify the markets, including through the downplaying of inflation risks
CzechRepublic - CNB board supports gradual rate hikes, sees risks as inflationary - minutes Chile
conditioned higher gap on adoption of key laws, there is disagreement within coalition Downside risks
at end-2021) High energy prices and adverse epidemiological developments remain leading downside risks
Finance, Russia, Risks, Retail Banking, Securitization, Bond Market
По оценке агентства, при соблюдении банками этих ограничений и исходя из среднего коэффициента RWA (Risk-weighted