• Credit Risk Quantitative Expert…

    M&T Bank (New York, NY)
    … Management, Commercial and Consumer Business Units, Model Risk Management and review functions ( Credit Review , Audit, etc.) to implement and understand ... credit , interest rate risk , liquidity risk , CCAR (Comprehensive Capital Analysis and Review )/stress...analysis programming experience + Strong Python skills + Financial Risk Manager (FRM) or Chartered Financial Analyst… more
    M&T Bank (06/21/25)
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  • Senior Manager , Credit Risk

    BMO Financial Group (NY)
    …in the analysis, development, approval process, issuance and communication of Risk policy frameworks in alignment with standards. Writes, publishes and maintains ... standard, operating procedures and other documentation. + Initiates and coordinates review processes among stakeholders. + Identifies and eliminates gaps in current… more
    BMO Financial Group (08/01/25)
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  • Credit Review Senior Portfolio…

    Bank of America (New York, NY)
    …The Portfolio Specialist works together with the Credit Review Portfolio Manager (s) to establish and execute a risk -based coverage plan for a specific ... Credit Review Senior Portfolio Specialist Charlotte,...businesses **Responsibilities:** + Either individually or working with Portfolio Manager (s), establish and execute a risk -based coverage… more
    Bank of America (07/11/25)
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  • Portfolio Manager I/II-Global Renewable…

    Bank of America (New York, NY)
    Credit Portfolio Manager will be responsible for the ongoing credit administration, monitoring, review , and analysis for a designated portfolio of tax ... these duties, the Portfolio Manager will interact with Originators, Credit Underwriting, Risk Management, Engineering Support, Modelling and Legal officers… more
    Bank of America (06/11/25)
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  • Senior Manager , US Credit

    Scotiabank (New York, NY)
    …Commercial and Real Estate Problem loans and provide recommendations to the various credit risk approval committees. Tasks include, but are not limited to ... Senior Manager , US Credit and Special Accounts...be responsible for monitoring the performance of the portfolio, risk rating integrity, and compliance and regulatory review more
    Scotiabank (08/08/25)
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  • Senior Manager - Risk Management

    American Express (New York, NY)
    …loss, while carefully balancing the merchant relationship with American Express. Alongside credit risk management, you will be responsible for minimizing ... risks are identified, assessed, and managed in compliance with enterprise Operational Risk Management programs and reporting. The manager will be focused… more
    American Express (08/01/25)
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  • Sustainability and Climate Risk

    SMBC (New York, NY)
    …and risk data systems. Stakeholder Engagement: Collaborate with internal teams, including credit risk , liquidity risk , operational risk , market ... senior management to integrate climate risk into the bank's overall risk management framework, including integration into credit , liquidity, operational and… more
    SMBC (07/23/25)
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  • US Personal Banking Risk Program…

    Citigroup (Getzville, NY)
    …commitments, dependencies, and resource needs. + Leverage knowledge of Credit Risk Management to perform end-to-end review -challenge of program scope and ... Management disciplines in a global bank environment (eg, enterprise risk , credit risk , market ...discipline with strong relevant experience + Certifications like Professional Risk Manager (PRM), Project Management Professional (PMP)… more
    Citigroup (07/16/25)
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  • Audit Manager , US Risk Management

    Scotiabank (New York, NY)
    Audit Manager , US Risk Management **Requisition ID:** 231825 **Salary Range:** 90,000.00 - 167,200.00 _Please note that the Salary Range shown is a guideline ... & Markets provides a full range of investment banking, credit and risk management products and services...the first line and stakeholder and regulatory reporting. + Review the effectiveness of risk management controls… more
    Scotiabank (07/24/25)
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  • Equities Market Risk Manager VP…

    Citigroup (New York, NY)
    …to ensure thorough concise of methodologies and models. Interaction with Market and Credit Risk Managers to improve accuracy of regulatory and management ... Markets and Products. Knowledge of Equity Derivatives products as a trader or risk manager . + Excellent written and verbal communication skills. Self-starter,… more
    Citigroup (06/28/25)
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