- SMBC (New York, NY)
- …benefits to its employees. **Role Description** This position sits within the Enterprise Risk Management of SMBC's Risk Management Department, which is the 2nd ... line of defense independent risk management function for the bank. As a Sustainability...in Finance, Economics, Environmental Science, Climate Science, or other quantitative fields. BA/BS with 5+ years' direct climate-related financial… more
- SMBC (White Plains, NY)
- … Validation Analyst plays an active role in the implementation and enhancement of Model Risk Management framework for the NYB and subsidiaries by performing ... benefits to its employees. **Role Description** Reporting to the Manager , Model Validation Group, the Model...capital stress testing models with the goals of enhancing model risk governance and improving model… more
- Citigroup (New York, NY)
- …Risk Manager , Economist, Market Risk Senior Analyst, Model /Analysis/Validation Intermediate Analyst, Quantitative Risk Analyst, Quant Underwriting ... Citibank, NA seeks a Treasury Risk Officer for its New York, New York...environment and stress economic environment. Use qualitative financial scenario, quantitative financial and market product knowledge, and statistical methods… more
- Citigroup (New York, NY)
- …Analyst, Model /Analysis/Validation Manager or related position involving model risk management within the global financial services industry. ... Citibank, NA seeks a Model /Anlys/Valid Sr Officer I for its New York,...New York location. Duties: Lead development and research for quantitative credit loss models of Held-for-investment (HFI) loans for… more
- Synchrony (New York, NY)
- …the VP, Collections & Recovery Strategy Model Management to fulfilling all Model Risk Management (MRM) required responsibilities (such as model inventory ... or higher in a quantitative discipline and 5+ years of experience in Risk , Credit, Consumer Lending or relevant experience and in lieu of degree, 8+ years of… more
- Bank of America (New York, NY)
- …a "One Stop Shop" for Risk Managers, GRA, external teams for Market Risk model and systems support. Management experience for teams across regions, of ten ... over market data for GM + Experience working with model risk and risk analysts...quantitative disciplines + A thorough understanding of Market Risk models including Value at Risk , Stress… more
- Citigroup (New York, NY)
- …Finance, Risk Management or related field and 5 years of experience as a Market Risk Analyst, Vice President, Risk Manager , Market Risk Manager , ... Citibank, NA seeks a Market Risk Senior Officer I for its New York,...these desks including Financial Control, Price Verification and the Model Validation groups within the organization to ensure proper… more
- Wells Fargo (New York, NY)
- …Wells Fargo is seeking candidates for the role of Front Office Rates Derivatives Quantitative Analytics Manager , which is an Executive Director level role within ... work and provide leadership within a team responsible for developing and implementing quantitative models and tools for Interest Rates risk management, trading,… more
- TD Bank (New York, NY)
- …for assessing the design and operating effectiveness of controls designed for managing model risk across the Bank and evaluating compliance of the Bank's ... model risk management practices with regulatory requirements...and diverse audit team for an area of significant risk , complexity or scope + People Manager … more
- American Express (New York, NY)
- …approaches and machine learning techniques. The candidate will be part of a quantitative finance team made up of highly talented individuals with strong intellectual ... Lending business, and work closely with broader Finance community, Business and Risk teams to drive profitable growth for the company. **Responsibilities include:**… more
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