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                          4.025 Treffer für Credit Risk Management Jobs in Eschborn im Umkreis von 30 km

                          Credit Risk Management - Corporate Lending Associate

                          Morgan Stanley
                          Frankfurt, Germany
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Credit Risk Management (CRM) evaluates credit risk transactions and approves rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management.
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Credit Risk Management (CRM) evaluates credit risk transactions and approves rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management.
                          mehr
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Background on the PositionThe role will reside within the Firm Risk Management's Credit Risk Management area which is a team dedicated to evaluating credit risk transactions considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on ...
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Background on the PositionThe role will reside within the Firm Risk Management's Credit Risk Management area which is a team dedicated to evaluating credit risk transactions considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on ...
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                          Morgan Stanley is seeking a risk professional to join the Credit Risk Management department in Frankfurt at Vice President level to support Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Credit Risk Management (CRM) evaluates credit risk transactions and approves rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and ...
                          Morgan Stanley is seeking a risk professional to join the Credit Risk Management department in Frankfurt at Vice President level to support Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Credit Risk Management (CRM) evaluates credit risk transactions and approves rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and ...
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                          Werde Teil des #teamKfW in Frankfurt am Main und starte deine Karriere als Trainee (w/m/d) Kreditrisikomanagement * Zusätzlich geben wir dir die Gelegenheit, neben mehreren Stationen im Kreditrisikomanagement in angrenzenden Bereichen erste Erfahrungen zu sammeln. * Du kannst dich dafür begeistern, den digitalen Wandel im Kreditrisikomanagement aktiv mitzugestalten.
                          Werde Teil des #teamKfW in Frankfurt am Main und starte deine Karriere als Trainee (w/m/d) Kreditrisikomanagement * Zusätzlich geben wir dir die Gelegenheit, neben mehreren Stationen im Kreditrisikomanagement in angrenzenden Bereichen erste Erfahrungen zu sammeln. * Du kannst dich dafür begeistern, den digitalen Wandel im Kreditrisikomanagement aktiv mitzugestalten.
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                          In unserem Chapter „Risk Models“ sorgen wir für die Sicherheit der Bank und unserer Kund*innen. Als Teil des Teams unterstützt Du uns bei der Bearbeitung von komplexen Aufgabenstellungen im Rahmen des Kreditrisikomanagements und kannst einen Blick hinter die Kulissen einer international agierenden Großbank werfen.
                          In unserem Chapter „Risk Models“ sorgen wir für die Sicherheit der Bank und unserer Kund*innen. Als Teil des Teams unterstützt Du uns bei der Bearbeitung von komplexen Aufgabenstellungen im Rahmen des Kreditrisikomanagements und kannst einen Blick hinter die Kulissen einer international agierenden Großbank werfen.
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                          Dann ist unser Duales Studium Business Administration (B.Sc.) mit dem Schwerpunkt Banking & Finance in Kooperation mit der Frankfurt School of Finance & Management genau das Richtige für dich. Dein Studium absolvierst du in 7 Semestern im Tagesmodell an der Frankfurt School of Finance & Management in Frankfurt (3 Tage Uni, 3 Tage praxisintegrierte Ausbildung in der Bank). Dabei erhältst du einen umfassenden Überblick in verschiedene Aufgabenfelder des Corporate Bankings und wirst u. a. in den Bereichen Vertrieb, Kreditrisikomanagement, Sektor-Vertrieb (unsere Branchenexperten), Fördermittelberatung und Structured Finance ausgebildet.
                          Dann ist unser Duales Studium Business Administration (B.Sc.) mit dem Schwerpunkt Banking & Finance in Kooperation mit der Frankfurt School of Finance & Management genau das Richtige für dich. Dein Studium absolvierst du in 7 Semestern im Tagesmodell an der Frankfurt School of Finance & Management in Frankfurt (3 Tage Uni, 3 Tage praxisintegrierte Ausbildung in der Bank). Dabei erhältst du einen umfassenden Überblick in verschiedene Aufgabenfelder des Corporate Bankings und wirst u. a. in den Bereichen Vertrieb, Kreditrisikomanagement, Sektor-Vertrieb (unsere Branchenexperten), Fördermittelberatung und Structured Finance ausgebildet.
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                          Inside Sales Operations & Process Specialist (m/w/d)

                          ACTICO GmbH
                          Friedrichshafen, Frankfurt am Main, Neuss
                          Teilweise Home-Office
                          Schnelle Bewerbung
                          Mit der ACTICO Advanced Decision Automation Technology und den darauf basierenden skalierbaren, KI-unterstützten Software- und SaaS-Lösungen für die Bereiche Regulatorische Compliance und Credit Risk Management schafft das Unternehmen signifikanten Mehrwert für seine Kunden – im Schwerpunkt Finanzdienstleister. * Unterstützung beim und Rollenmanagement sowie bei grundlegenden CRM-Konfigurationen
                          Mit der ACTICO Advanced Decision Automation Technology und den darauf basierenden skalierbaren, KI-unterstützten Software- und SaaS-Lösungen für die Bereiche Regulatorische Compliance und Credit Risk Management schafft das Unternehmen signifikanten Mehrwert für seine Kunden – im Schwerpunkt Finanzdienstleister. * Unterstützung beim und Rollenmanagement sowie bei grundlegenden CRM-Konfigurationen
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                          Noch nichts dabei? Es gibt 4018 weitere Jobs, die zu deiner Suche passen könnten

                          You support Credit Management in the Credit Management Service Center, including coordination with external credit information providers and credit insurers to mitigate risks. As a Global Credit Management Specialist in our Service Center Credit Management (SSC), you will oversee receivables and overdue accounts, contribute to global initiatives, and ensure alignment with international standards. * You conduct risk assessments of the customer portfolio, evaluate credit reports, security funds, and provide support for debt collection. * You participate in global projects and initiatives for process optimization and digitalization, ensuring harmonization of Credit Management standards across regions. * You bring several years of professional experience in finance and accounting – ideally in Credit Management. Collaborating with internal teams and customers, you will play a key role in ...
                          You support Credit Management in the Credit Management Service Center, including coordination with external credit information providers and credit insurers to mitigate risks. As a Global Credit Management Specialist in our Service Center Credit Management (SSC), you will oversee receivables and overdue accounts, contribute to global initiatives, and ensure alignment with international standards. * You conduct risk assessments of the customer portfolio, evaluate credit reports, security funds, and provide support for debt collection. * You participate in global projects and initiatives for process optimization and digitalization, ensuring harmonization of Credit Management standards across regions. * You bring several years of professional experience in finance and accounting – ideally in Credit Management. Collaborating with internal teams and customers, you will play a key role in ...
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                          Schnelle Bewerbung
                          Review external reports of third-party financial institutions (e.g. rating reports, annual and disclosure reports) and prepare summary credit assessments for the management of counterparty risk. Group Financial Risk Management is responsible for overseeing the key financial risks of the Group – interest rate risk, liquidity risk, FX risk, country risk and counterparty risk – as well as implementing the financial risk strategy across all subsidiary banks. * You have at least three years of relevant professional experience, preferably with focus on interest rate risk or liquidity risk management. For our Financial Risk Management team, we are seeking a motivated - The development of policies, quantification models and monitoring/reporting on the development of financial risks are core responsibilities of the team, while at the same time ensuring compliance with regulatory requirements.
                          Review external reports of third-party financial institutions (e.g. rating reports, annual and disclosure reports) and prepare summary credit assessments for the management of counterparty risk. Group Financial Risk Management is responsible for overseeing the key financial risks of the Group – interest rate risk, liquidity risk, FX risk, country risk and counterparty risk – as well as implementing the financial risk strategy across all subsidiary banks. * You have at least three years of relevant professional experience, preferably with focus on interest rate risk or liquidity risk management. For our Financial Risk Management team, we are seeking a motivated - The development of policies, quantification models and monitoring/reporting on the development of financial risks are core responsibilities of the team, while at the same time ensuring compliance with regulatory requirements.
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                          Specific to this role, the team partners with the firm's Credit Risk, Market Risk, Finance Risk, Operational Risk, and Risk Management departments, to ensure appropriate oversight of related regulatory requirements as well as the division's frameworks and internal governance from a legal entity perspective. The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and model risk. We are a function within the Risk Division (second line of defence) responsible for managing the Division's regulatory compliance and legal entity governance across risk disciplines (i.e. market risk, credit risk, finance risk, operational risk, model risk), among leading other important initiative for the Division. The Regulatory Engagement function manages and oversees regulatory interactions and obligations, key legal entity governance processes e.g. around ...
                          Specific to this role, the team partners with the firm's Credit Risk, Market Risk, Finance Risk, Operational Risk, and Risk Management departments, to ensure appropriate oversight of related regulatory requirements as well as the division's frameworks and internal governance from a legal entity perspective. The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and model risk. We are a function within the Risk Division (second line of defence) responsible for managing the Division's regulatory compliance and legal entity governance across risk disciplines (i.e. market risk, credit risk, finance risk, operational risk, model risk), among leading other important initiative for the Division. The Regulatory Engagement function manages and oversees regulatory interactions and obligations, key legal entity governance processes e.g. around ...
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                          Schnelle Bewerbung
                          In dieser Position im Bereich Credit Risk / Underwriting analysieren und bewerten Sie Unternehmen im Kontext von Leasing- und Finanzierungsanfragen, erstellen fundierte Kreditentscheidungen und agieren als zentrale Schnittstelle zwischen Vertrieb, Kunden und internen Fachbereichen unter Berücksichtigung regulatorischer Anforderungen wie KWG und MaRisk. Im Auftrag eines international tätigen Unternehmens im Rhein-Main-Gebiet suchen wir im Rahmen der Direktvermittlung einen Credit & Underwriting Analyst (m/w/d) mit unbefristetem Arbeitsvertrag. * Unterstützung des Vertriebs bzw. Relationship Managements bei komplexen Finanzierungsanfragen * Mehrjährige Erfahrung im Bereich Credit Analysis, Underwriting oder Kreditgeschäft, idealerweise in einer Bank oder Leasinggesellschaft
                          In dieser Position im Bereich Credit Risk / Underwriting analysieren und bewerten Sie Unternehmen im Kontext von Leasing- und Finanzierungsanfragen, erstellen fundierte Kreditentscheidungen und agieren als zentrale Schnittstelle zwischen Vertrieb, Kunden und internen Fachbereichen unter Berücksichtigung regulatorischer Anforderungen wie KWG und MaRisk. Im Auftrag eines international tätigen Unternehmens im Rhein-Main-Gebiet suchen wir im Rahmen der Direktvermittlung einen Credit & Underwriting Analyst (m/w/d) mit unbefristetem Arbeitsvertrag. * Unterstützung des Vertriebs bzw. Relationship Managements bei komplexen Finanzierungsanfragen * Mehrjährige Erfahrung im Bereich Credit Analysis, Underwriting oder Kreditgeschäft, idealerweise in einer Bank oder Leasinggesellschaft
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                          Risk Control Associate

                          Industrial and Commercial Bank of China Limited Frankfurt Branch
                          Frankfurt am Main
                          Schnelle Bewerbung
                          Expertise in credit risk, interest rate and liquidity risk, overall risk management and banking supervisory law (CRR, MaRisk, KWG, Basel III, etc.) * Support in all operational and strategic risk management and risk controlling tasks * Participation in projects for the implementation and fulfillment of regulatory requirements in risk controlling/management * Methodical improvement, optimization and maintenance of the internal risk measurement and monitoring procedures as well as the internal and external risk reporting system * Collaboration in the development and validation of risk models * Good knowledge of banking products and their mapping in a bank's systems as well as knowledge of mathematical and statistical methods and IT-systems knowledge in relation to risk management/controlling * Relevant professional experience in the fields of risk controlling or accounting
                          Expertise in credit risk, interest rate and liquidity risk, overall risk management and banking supervisory law (CRR, MaRisk, KWG, Basel III, etc.) * Support in all operational and strategic risk management and risk controlling tasks * Participation in projects for the implementation and fulfillment of regulatory requirements in risk controlling/management * Methodical improvement, optimization and maintenance of the internal risk measurement and monitoring procedures as well as the internal and external risk reporting system * Collaboration in the development and validation of risk models * Good knowledge of banking products and their mapping in a bank's systems as well as knowledge of mathematical and statistical methods and IT-systems knowledge in relation to risk management/controlling * Relevant professional experience in the fields of risk controlling or accounting
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                          Risk, Operational Risk/ Resilience, Associate, Frankfurt

                          Goldman Sachs AG MesseTurm
                          Frankfurt, Germany
                          Teilweise Home-Office
                          RISK The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and capital risk. OPERATIONAL RISKThe Operational Risk Department at Goldman Sachs is an independent risk management function responsible for developing and implementing a standardized framework to identify, measure, and monitor operational risk across the firm.. * Support the ICT Risk Control Officer function in overseeing the ICT Risk Management Framework (RMF) and in creating the annual ICT RMF review report * Prepare and present commercially effective strategies to Operational Risk senior management and business stakeholders - Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success.
                          RISK The Risk Division is a team of specialists charged with managing the firm's credit, market, liquidity, operational and capital risk. OPERATIONAL RISKThe Operational Risk Department at Goldman Sachs is an independent risk management function responsible for developing and implementing a standardized framework to identify, measure, and monitor operational risk across the firm.. * Support the ICT Risk Control Officer function in overseeing the ICT Risk Management Framework (RMF) and in creating the annual ICT RMF review report * Prepare and present commercially effective strategies to Operational Risk senior management and business stakeholders - Whether assessing the creditworthiness of the firm's counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm's success.
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                          Deutsche Bank Internship (m/f/x) in Risk 2026

                          Deutsche Bank AG
                          Berlin, Bonn, Düsseldorf, Essen, Frankfurt am Main, Hamburg, Stuttgart
                          Teilweise Home-Office
                          With group-wide responsibility for the management and control of credit, market, operational and reputational risks, we have a unique vantage point which allows us a holistic view of our businesses and our clients. In order to succeed in this environment, it requires a truly integrated approach to capital and risk management, a model embodied by the Chief Risk Office and the Bank. The Risk division has a fundamental responsibility to protect the Bank. This industry-leading platform is based on consolidated management of capital, funding and liquidity, comprehensive stress testing, and robust monitoring standards. In an increasingly complex environment, risk management is fast becoming the most sought after place to build a career within the banking world. Working on our day-to-day business as well as on special projects you will gain a broad insight into the Risk function.
                          With group-wide responsibility for the management and control of credit, market, operational and reputational risks, we have a unique vantage point which allows us a holistic view of our businesses and our clients. In order to succeed in this environment, it requires a truly integrated approach to capital and risk management, a model embodied by the Chief Risk Office and the Bank. The Risk division has a fundamental responsibility to protect the Bank. This industry-leading platform is based on consolidated management of capital, funding and liquidity, comprehensive stress testing, and robust monitoring standards. In an increasingly complex environment, risk management is fast becoming the most sought after place to build a career within the banking world. Working on our day-to-day business as well as on special projects you will gain a broad insight into the Risk function.
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                          Our team covers a broad spectrum of investment strategies across all asset classes, including fixed income, equities, liquid alternatives, private equity, private credit, infrastructure and real estate. We conduct our business in increasingly complex markets and our people must continually find new ways to manage risk and provide investment opportunities for our clients to enable them to reach their goals. * Good knowledge and passion for the asset management business and capital markets
                          Our team covers a broad spectrum of investment strategies across all asset classes, including fixed income, equities, liquid alternatives, private equity, private credit, infrastructure and real estate. We conduct our business in increasingly complex markets and our people must continually find new ways to manage risk and provide investment opportunities for our clients to enable them to reach their goals. * Good knowledge and passion for the asset management business and capital markets
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                          Für unsere Zentrale in Frankfurt suchen wir Sie in Vollzeit als (Senior) Credit Risk Analyst - Retail (m/w/d) * Teilnahme an Kundengesprächen in Zusammenarbeit mit und Kreditmanagement-Mitarbeitern
                          Für unsere Zentrale in Frankfurt suchen wir Sie in Vollzeit als (Senior) Credit Risk Analyst - Retail (m/w/d) * Teilnahme an Kundengesprächen in Zusammenarbeit mit und Kreditmanagement-Mitarbeitern
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                          Strong commercial mindset, combined with solid risk awareness, credit assessment skills, analytical capabilities and a sound understanding of Wholesale Banking * From the outset of new trade transactions, you structure and implement the operational setup (e.g. Supply Chain Finance, Accounts Receivable, guarantees and letters of credit). * Several years of experience in Wholesale Banking, including the management of complex client relationships in international and multi-market environments, with a strong focus on value creation in Trade Solutions and Transaction Services * In-depth knowledge of operational workflows, scalable transaction banking systems and best practices in account management
                          Strong commercial mindset, combined with solid risk awareness, credit assessment skills, analytical capabilities and a sound understanding of Wholesale Banking * From the outset of new trade transactions, you structure and implement the operational setup (e.g. Supply Chain Finance, Accounts Receivable, guarantees and letters of credit). * Several years of experience in Wholesale Banking, including the management of complex client relationships in international and multi-market environments, with a strong focus on value creation in Trade Solutions and Transaction Services * In-depth knowledge of operational workflows, scalable transaction banking systems and best practices in account management
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                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Morgan Stanley is seeking a Vice President with relevant risk management experience to join the Stress Testing and Portfolio Risk team in the Risk Division in Frankfurt. Background on the PositionThe Stress Testing and Portfolio Risk team is responsible for controlling and reporting aggregate risk positions, for coordinating and executing stress testing across risk types and for providing relevant management information and insights. * Experience in financial risk management (either from working in banking or management ...
                          Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. Morgan Stanley is seeking a Vice President with relevant risk management experience to join the Stress Testing and Portfolio Risk team in the Risk Division in Frankfurt. Background on the PositionThe Stress Testing and Portfolio Risk team is responsible for controlling and reporting aggregate risk positions, for coordinating and executing stress testing across risk types and for providing relevant management information and insights. * Experience in financial risk management (either from working in banking or management ...
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                          Senior Referent (m/w/d) Meldewesen

                          Creditplus Bank AG
                          Stuttgart, Offenbach am Main
                          Teilweise Home-Office
                          Anschreiben nicht erforderlich
                          Bei der Creditplus denken wir größer, denn wir profitieren von Synergien mit unseren (inter)nationalen Schwestereinheiten und Business Units unter dem Dach der Crédit Agricole. In unserem Team Risk Management & Regulatory Reporting leistest du einen bedeutenden Beitrag zur Gesamtbanksteuerung. * Erstellen, Plausibilisieren sowie termingerechte Abgabe der aufsichtsrechtlichen Meldungen an die Aufsicht und an die Crédit Agricole Gruppe
                          Bei der Creditplus denken wir größer, denn wir profitieren von Synergien mit unseren (inter)nationalen Schwestereinheiten und Business Units unter dem Dach der Crédit Agricole. In unserem Team Risk Management & Regulatory Reporting leistest du einen bedeutenden Beitrag zur Gesamtbanksteuerung. * Erstellen, Plausibilisieren sowie termingerechte Abgabe der aufsichtsrechtlichen Meldungen an die Aufsicht und an die Crédit Agricole Gruppe
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                          Clients benefit from our comprehensive suite of products on a global scale, including advisory, financing, risk management and treasury solutions. As an analyst, you assume key responsibilities for three dimensions crucial to our success: commercial coverage activities, credit analysis and regulatory topics. * Preparing concise and detailed credit analyses and leading the subsequent internal credit‑approval process for complex client transactions and annual reviews. * Ensuring the accuracy of reporting tools and databases for revenues, deals, and risk metrics. * Managing internal processes, including budgeting, KYC, fund flows, and the booking of credit facilities. * Ability to define and analyze risk levels of companies and transactions * Knowledge of risks and their major processes or regulatory frameworks
                          Clients benefit from our comprehensive suite of products on a global scale, including advisory, financing, risk management and treasury solutions. As an analyst, you assume key responsibilities for three dimensions crucial to our success: commercial coverage activities, credit analysis and regulatory topics. * Preparing concise and detailed credit analyses and leading the subsequent internal credit‑approval process for complex client transactions and annual reviews. * Ensuring the accuracy of reporting tools and databases for revenues, deals, and risk metrics. * Managing internal processes, including budgeting, KYC, fund flows, and the booking of credit facilities. * Ability to define and analyze risk levels of companies and transactions * Knowledge of risks and their major processes or regulatory frameworks
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                          Financing Solutions Specialist (m/w/d)

                          HypoVereinsbank - UniCredit - Deutschland
                          Frankfurt am Main
                          Teilweise Home-Office
                          Anschreiben nicht erforderlich
                          HypoVereinsbank - UniCredit - Deutschland - Die HypoVereinsbank ist Teil der UniCredit, einer paneuropäischen Geschäftsbank. * Führung und Koordination des internen (Investment Committee, Senior Risk Management) und externen (Käufer, Verkäufer, Berater) Finanzierungsprozesses
                          HypoVereinsbank - UniCredit - Deutschland - Die HypoVereinsbank ist Teil der UniCredit, einer paneuropäischen Geschäftsbank. * Führung und Koordination des internen (Investment Committee, Senior Risk Management) und externen (Käufer, Verkäufer, Berater) Finanzierungsprozesses
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                          Bilanzbuchhalter / Accountant (m/w/d)

                          Amadeus Fire AG
                          Mainz, Münster, München, Augsburg, Nürnberg, Stuttgart, Heilbronn
                          Teilweise Home-Office
                          Anschreiben nicht erforderlich
                          Amadeus Fire AG * Mainz, Münster, München, Augsburg, Nürnberg, Stuttgart, Heilbronn * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Anschreiben nicht erforderlich - Ein attraktives Gehaltspaket, flexible Arbeitszeiten und Homeoffice-Möglichkeiten - das sind nur einige der Benefits, die diese Position bietet. Unser Mandant plant, sein Team im Finanzbereich zu verstärken und sucht daher nach einem erfahrenen Bilanzbuchhalter (m/w/d) in Festanstellung. Diese Personalvermittlung ist für Sie kostenfrei und eröffnet Ihnen die Möglichkeit, Teil eines attraktiven Arbeitgebers mit Standorten in Mainz, Münster, München, Augsburg, Nürnberg, Stuttgart und Heilbronn zu werden. Bewerben Sie sich jetzt als Bilanzbuchhalter / Accountant (m/w/d). Ihre Aufgaben * Erstellen der Monats-, Quartals- und Jahresabschlüsse nach HGB * Führung der Finanzbuchhaltung
                          Amadeus Fire AG * Mainz, Münster, München, Augsburg, Nürnberg, Stuttgart, Heilbronn * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Anschreiben nicht erforderlich - Ein attraktives Gehaltspaket, flexible Arbeitszeiten und Homeoffice-Möglichkeiten - das sind nur einige der Benefits, die diese Position bietet. Unser Mandant plant, sein Team im Finanzbereich zu verstärken und sucht daher nach einem erfahrenen Bilanzbuchhalter (m/w/d) in Festanstellung. Diese Personalvermittlung ist für Sie kostenfrei und eröffnet Ihnen die Möglichkeit, Teil eines attraktiven Arbeitgebers mit Standorten in Mainz, Münster, München, Augsburg, Nürnberg, Stuttgart und Heilbronn zu werden. Bewerben Sie sich jetzt als Bilanzbuchhalter / Accountant (m/w/d). Ihre Aufgaben * Erstellen der Monats-, Quartals- und Jahresabschlüsse nach HGB * Führung der Finanzbuchhaltung
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                          Bilanzbuchhalter / Accountant (m/w/d)

                          Amadeus Fire AG
                          Frankfurt, Hamm, Hannover, Karlsruhe, Mannheim, Saarbrücken
                          Teilweise Home-Office
                          Anschreiben nicht erforderlich
                          Amadeus Fire AG * Frankfurt, Hamm, Hannover, Karlsruhe, Mannheim, Saarbrücken * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Anschreiben nicht erforderlich - Ein attraktives Gehaltspaket, flexible Arbeitszeiten und Homeoffice-Möglichkeiten - das sind nur einige der Benefits, die diese Position bietet. Unser Mandant plant, sein Team im Finanzbereich zu verstärken und sucht daher nach einem erfahrenen Bilanzbuchhalter (m/w/d) in Festanstellung. Diese Personalvermittlung ist für Sie kostenfrei und eröffnet Ihnen die Möglichkeit, Teil eines attraktiven Arbeitgebers mit Standorten in Frankfurt, Hamm, Hannover, Hannover, Hannover, Karlsruhe, Mannheim und Saarbrücken zu werden. Bewerben Sie sich jetzt als Bilanzbuchhalter / Accountant (m/w/d). Ihre Aufgaben * Erstellen der Monats-, Quartals- und Jahresabschlüsse nach HGB * Führung der Finanzbuchhaltung
                          Amadeus Fire AG * Frankfurt, Hamm, Hannover, Karlsruhe, Mannheim, Saarbrücken * Feste Anstellung * Homeoffice möglich, Vollzeit - Sei einer der ersten Bewerber - Anschreiben nicht erforderlich - Ein attraktives Gehaltspaket, flexible Arbeitszeiten und Homeoffice-Möglichkeiten - das sind nur einige der Benefits, die diese Position bietet. Unser Mandant plant, sein Team im Finanzbereich zu verstärken und sucht daher nach einem erfahrenen Bilanzbuchhalter (m/w/d) in Festanstellung. Diese Personalvermittlung ist für Sie kostenfrei und eröffnet Ihnen die Möglichkeit, Teil eines attraktiven Arbeitgebers mit Standorten in Frankfurt, Hamm, Hannover, Hannover, Hannover, Karlsruhe, Mannheim und Saarbrücken zu werden. Bewerben Sie sich jetzt als Bilanzbuchhalter / Accountant (m/w/d). Ihre Aufgaben * Erstellen der Monats-, Quartals- und Jahresabschlüsse nach HGB * Führung der Finanzbuchhaltung
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                          Act as a with Corporate Banking, Investment Banking, Credit and Risk, Compliance, Product Management, Client Delivery & Service, Implementation and Operations * Be a leading provider of treasury and cash management solutions * Provide a personalised service for our clients, backed with high-tech for their liquidity management, payments and receipts, trade and supply chain finance and FX and commercial card services - Client sub-sectors within the portfolio may include asset management, insurance and payment technology clients such as Payment Service Providers (PSPs), neobanks, card companies and merchants, as well as traditional Banks. The TSO works closely with Corporate Banking, Global Treasury Sales colleagues as well as key Product Management partners (including cash management, FX, card, trade and liquidity) to identify solutions that best suit our client's needs.
                          Act as a with Corporate Banking, Investment Banking, Credit and Risk, Compliance, Product Management, Client Delivery & Service, Implementation and Operations * Be a leading provider of treasury and cash management solutions * Provide a personalised service for our clients, backed with high-tech for their liquidity management, payments and receipts, trade and supply chain finance and FX and commercial card services - Client sub-sectors within the portfolio may include asset management, insurance and payment technology clients such as Payment Service Providers (PSPs), neobanks, card companies and merchants, as well as traditional Banks. The TSO works closely with Corporate Banking, Global Treasury Sales colleagues as well as key Product Management partners (including cash management, FX, card, trade and liquidity) to identify solutions that best suit our client's needs.
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                          We are looking for a Tax Manager – Tax Reporting, Risk Management & Technology to join our global tax team. In this role, you will ensure accurate and timely tax reporting across budget, forecast, and actuals, while developing and implementing a robust tax risk management framework for the ContiTech Group. You will act as a key contact for German and international entities, proactively identifying tax risks and supporting operational tax functions. * Develop and implement concepts for tax risk management for ContiTech. * Act as a proactive point of contact for German and international group companies to identify and mitigate tax risks early. * Design and deliver training programs related to tax reporting and tax risk management processes. * Leverage technology and digital tools to enhance tax reporting accuracy and risk management efficiency.
                          We are looking for a Tax Manager – Tax Reporting, Risk Management & Technology to join our global tax team. In this role, you will ensure accurate and timely tax reporting across budget, forecast, and actuals, while developing and implementing a robust tax risk management framework for the ContiTech Group. You will act as a key contact for German and international entities, proactively identifying tax risks and supporting operational tax functions. * Develop and implement concepts for tax risk management for ContiTech. * Act as a proactive point of contact for German and international group companies to identify and mitigate tax risks early. * Design and deliver training programs related to tax reporting and tax risk management processes. * Leverage technology and digital tools to enhance tax reporting accuracy and risk management efficiency.
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                          Was ist das Durchschnittsgehalt für Credit Risk Management in Eschborn?

                          Durchschnittsgehalt pro Jahr
                          59.500 €

                          Das Durchschnittsgehalt für Credit Risk Management in Eschborn liegt bei 59.500 €. Gehälter für Credit Risk Management in Eschborn liegen im Bereich zwischen 52.000 € und 71.300 €.

                          Häufig gestellte Fragen

                          Wie viele offene Stellenangebote gibt es für Credit Risk Management Jobs in Eschborn?
                          Aktuell gibt es auf StepStone 4.025 offene Stellenanzeigen für Credit Risk Management Jobs in Eschborn.

                          Welche anderen Orte sind auch beliebt für Leute, die in Eschborn einen Credit Risk Management Job suchen?
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                          Wer nach Credit Risk Management Jobs in Eschborn sucht, sucht häufig auch nach Investment Banking, Finance Controlling, Asset Management.

                          Welche Fähigkeiten braucht man für Credit Risk Management Jobs in Eschborn??
                          Für einen Credit Risk Management Job in Eschborn sind folgende Fähigkeiten von Vorteil: Deutsch, Kommunikation, Englisch, Planung, Entwicklung.

                          Wie viele offene Teilzeit-Stellen gibt es für Credit Risk Management Jobs in Eschborn?
                          Für Credit Risk Management Jobs in Eschborn gibt es aktuell 1175 offene Teilzeitstellen.