• Sr Manager - Financial Reporting

    TIAA (Charlotte, NC)
    …Business Intelligence, Due Diligence, Executive Presence, Financial Acumen, Financial Modeling , Financial Risk Management , Financial ... + Manage the completion of various regulatory reports, including the annual Management Discussion and Analysis, estimated GAAP financial statements, and… more
    TIAA (10/04/25)
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  • Interest Rate Risk on the Banking Book…

    Citigroup (Charlotte, NC)
    …Business Acumen, Data Analysis, Financial Modeling , Internal Controls, Management Reporting, Market Risk , Problem Solving, Process Execution, Risk ... unit's responsibilities cover six key areas: + _Non-Traded Market Risk Management :_ + _Interest Rate Risk...a plus; + 20+ years of experience in the financial services industry with a focus on modelling customer… more
    Citigroup (10/02/25)
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  • AVP, M&A Strategy & Financial

    Lincoln Financial (Raleigh, NC)
    …**Requisition #:** 75159 **The Role at a Glance** As the AVP, M&A Strategy & Financial Modeling , you'll lead high-impact initiatives that shape the future of the ... companies. + Create clear, concise, and compelling presentations for senior management and executive leadership, distilling complex financial calculations and… more
    Lincoln Financial (10/10/25)
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  • Treasury Analytics and Modeling Analyst Sr.

    Huntington National Bank (Charlotte, NC)
    …Microsoft Office skills, especially Excel + Experience in model governance activity per risk management frameworks typical at banks above $200bn in assets + ... Bank and its affiliates provide consumer, small business, commercial, treasury management , wealth management , brokerage, trust, and insurance services.… more
    Huntington National Bank (08/30/25)
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  • Modeling Analyst

    Insight Global (Charlotte, NC)
    …regulators to ensure that banks can be wound down without destabilizing the financial system or requiring taxpayer bailouts. This modeling capability is ... will be a member of the Traded Products Liquidity Management team. Their primary focus with be contributing to...to date o Provide input into monthly presentations for Risk Committees, Board of Directors, Enterprise and Local Regulators… more
    Insight Global (10/08/25)
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  • Financial Risk Analytics Sr.…

    Bank of America (Charlotte, NC)
    …of 2-3 years of risk management , risk quantitative/qualitative modeling or other experience in the financial services industry + Proficiency with ... on the design and implementation of analytics and analytical tools to support financial risk management . The candidate is expected to have strong technical… more
    Bank of America (09/26/25)
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  • Financial Controls Manager/ Regulatory…

    TD Bank (Charlotte, NC)
    …objective is to proactively manage, monitor, and enhance the effectiveness of financial controls, ensuring accuracy, compliance, and risk mitigation across the ... growth strategies + Partners with the business to develop financial plans and forecasts + Applies management -level...and assesses potential impacts + Maintains a culture of risk based management and control, supported by… more
    TD Bank (10/10/25)
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  • Lead Quantitative Analytics Specialist - CIB…

    Wells Fargo (Charlotte, NC)
    …problem-solving skills. + Knowledge and understanding of financial products and financial modeling + Strong time management skills and ability ... + Develop, implement, and calibrate various analytical models for risk management + Perform highly complex activities...management + Perform highly complex activities related to financial products, business analysis and modeling +… more
    Wells Fargo (10/08/25)
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  • Model Risk Quant Analytics Manager

    KeyBank (Charlotte, NC)
    …prepayments, and product repricing - is increasingly complex and requires a robust model risk management framework. **Key Responsibilities:** + Market Risk & ... 6 years of relevant experience Join a team committed to advancing model risk management through innovation and rigorous analytics. COMPENSATION AND BENEFITS This… more
    KeyBank (09/19/25)
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  • VP Risk ID, Emerging Risks & Scenarios

    BMO Financial Group (NC)
    …7+ years of relevant economics, stress test scenario design, risk management , data science, machine learning, artificial intelligence, financial modeling ... of education and experience. + In depth / Expert knowledge of economics, risk management , modeling /forecasting, and/or stress testing. + Knowledge of… more
    BMO Financial Group (09/25/25)
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