• Investment Banking - Investment Grade Finance…

    JPMorgan Chase (New York, NY)
    …execution advice for our clients **Job Responsibilities** + Monitor global rate and credit market dynamics and how they affect our clients' debt portfolios ... and funding decisions + Analyze market data, investment grade deal flow and thematic events to provide information to internal teams and external clients + Prepare… more
    JPMorgan Chase (06/27/25)
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  • Front Office Equities Quant - Executive Director

    Wells Fargo (New York, NY)
    …They are accountable for execution of all applicable risk programs ( Credit , Market , Financial Crimes, Operational, Regulatory Compliance), which includes ... with an emphasis on numerical optimization + 7+ years of derivative product and market experience in one or more of the following areas: rates and foreign exchange… more
    Wells Fargo (06/27/25)
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  • Trader, Structured and Index Products Desk

    HSBC (New York, NY)
    …the terms and conditions of financing transactions. Trading mandate for structured credit financing and market access business with Institutional clients. Risk ... investments, involving the review of financial statements, legal documents, and market research. Grow the existing business and develop capabilities of Structured… more
    HSBC (08/15/25)
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  • Vice President, Portfolio Management (Upper Middle…

    KeyBank (Syracuse, NY)
    …groups). + Prepare a thorough credit underwriting document identifying credit risks and mitigants, industry concerns, market share trends, financial ... financial analysis and preparing underwriting documents to support multimillion-dollar corporate credit requests that grow funded assets and Key's client base, while… more
    KeyBank (08/02/25)
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  • Senior XVA Trader - Rates & Currencies LATAM…

    Citigroup (New York, NY)
    …+ Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance to ensure appropriate governance and ... Counterparty Trading & Risk is a global business including XVA Trading, In-Business Credit Risk Management and Capital Management. XVA Trading is responsible for the… more
    Citigroup (08/08/25)
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  • Internal Auditor Risk Management Model Risk

    Mizuho Corporate Bank (New York, NY)
    …- Knowledge of derivatives pricing theory across one or more asset classes (IR/FX/ Credit /Equity), traded products and market / credit risks. Knowledge of ... stress testing methodology of trading and banking portfolios for market , credit and liquidity is a plus. - Minimum of 5 - 7 years of work experience performing… more
    Mizuho Corporate Bank (07/11/25)
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  • Sustainability and Climate Risk Manager

    SMBC (New York, NY)
    …risk into the bank's overall risk management framework, including integration into credit , liquidity, operational and market risk, etc. Support development of ... stress testing processes in each risk stripe such as credit , liquidity, operational and market risk. Collaborate...stripe such as credit , liquidity, operational and market risk. Collaborate with risk verticals to ensure climate-related… more
    SMBC (07/23/25)
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  • Senior Manager, US Market Risk

    Scotiabank (New York, NY)
    …a Senior Manager, US Market Risk in New York, NY to contribute to the market risk management of the US Credit Trading, US Structured Credit Trading, and ... of a Global Risk Management team encompassing TFRM, Counterparty Credit Risk, Exposure and Capital Analysis, Market ...Counterparty Credit Risk, Exposure and Capital Analysis, Market Risk Measurement as well as the individual risk… more
    Scotiabank (07/25/25)
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  • Senior Product Manager (Lockbox)

    TD Bank (New York, NY)
    …product meets TDBG objectives and standards + Identifies and manages risks ( market , credit , operational) associated with the product/segment + Develops/maintains ... have a proven record of building comprehensive product strategies, analyzing market and technology trends, collaborating with internal teams to implement features,… more
    TD Bank (08/29/25)
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  • SVP, MRM Loss Forecasting Sr. Lead Analyst…

    Citigroup (Queens, NY)
    …and validation of methods for measuring and analyzing all types of risks, including market , credit , and operational. In areas related to credit risk, ... role develop, enhance, and validate models for measuring obligor credit risk, or early warning tools that monitor the... risk, or early warning tools that monitor the credit risk of corporate or consumer customers, besides being… more
    Citigroup (08/28/25)
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