or Katowice Hybrid model: 2 days office/3 days remote FSRM Quant Analyst Let us introduce you the job offer by EY GDS Poland... service offerings provided by the FSO Advisory include market, credit and operational risk management, regulatory advisory...
in quantitative analysis within credit risk, with solid knowledge of IFRS9 and CRR standards. Advanced English skills, allowing... Quantitative Team, where we develop advanced credit risk models and implement innovative solutions for one of the world’s largest...
About Our Client Join the Group Risk Quantitative Team, where we develop advanced credit risk models and implement... environment. Your Responsibilities Credit Risk Modeling and Analysis: Develop statistical methodologies, estimate parameters...
Collections Support Analyst Collections Support Analyst with Swedish (+ Finnish/Norwegian nice... customers about reasons, and providing daily updates to customer service. Handling credit and accounts receivable processes...
Position title O2C Analyst (with German) Location Sappi Europe - Centre of Process Excellence Krakow - Finance.... As an O2C Analyst you will ensure regular allocation of payment transactions and control cash allocation for all Sappi entities...
Job Description: Trade Finance Analyst (f/m/x) in Mars Global Service Finance Department Location: Warsaw... Hybrid working Trade Finance Analyst plays key role in managing Trade Expenditures (TREX), especially calculation of TREX...
Job Description The Market and Counterparty Credit Risk Analytics team is looking for a Senior Quantitative Risk... Model Analyst to join their Warsaw-based team. Team: The group is responsible for developing and maintaining methodologies...
Luke Littler was throwing darts while still in his nappy. On Friday, the teenager could take the final step of a journey that began almost as soon as he could walk. Continue Reading »
The Nifty PSU Bank index concluded the year with a gain of 14.48%. Among the top performers, State Bank of India (SBI) led with a gain of 23%, followed by Indian Bank with a return of 24% Continue Reading »
Several auto stocks that were once soaring have seen their prices plummet by as much as 50% from their 52-week highs. These drops could present unique investment opportunities for savvy investors, but beware the risks. Continue Reading »
Kotak Mahindra Bank's stock has fallen over 4% in a year, contrasting with an 11% rise in Nifty Bank. Despite this, it gained 19% from its 52-week low and is 6% below its all-time high. Analysts are optimistic about its recovery potential in 2025. Continue Reading »
Despite a drop in its global market share to 4.2% in December 2024, India’s stable macroeconomics have kept its equity market buoyant. .The Nifty50 recorded a 9% return for 2024, though its performance in December was weak compared to other Asian markets. Continue Reading »
Kotak Mahindra Bank shares have rallied more than 6% in four sessions. Foreign brokerage firm Citi initiated a positive catalyst watch on Kotak Mahindra Bank shares expecting stability in loan growth and lower compression in net interest margin (NIM) in the third quarter of FY25. Continue Reading »
Stocks to buy: Analysts anticipate volatility influenced by US interest rates and trade policies. A potential 5-10% correction is expected in early 2025, yet stock-specific opportunities arise, including buy ratings for Varun Beverages, Tata Technologies, and Kalpataru Projects International. Continue Reading »
Sigachi Industries stock rose over 2% after CARE Ratings reaffirmed its credit ratings. The company saw a 38.1% increase in Q2FY25 revenue, with a profit after tax jump of 39%. However, the stock remains down 14% over the past year. Continue Reading »
Sebi's investigation into Ketan Parekh uncovered a front-running scheme that generated ₹65.77 crore in unlawful profits. In an interim order, the regulator debarred Parekh and two others from trading and issued show-cause notices to 22 entities involved, allowing them 21 days to respond. Continue Reading »