- Aflac (New York, NY)
- …KEY RELATIONSHIPS Reports to: Vice President, Asset Liability Management (ALM) Manager - Aflac Global Investments Risk Management Primary Relationships: ... + Collaborate with Global Risk , Japan Investment Risk Management (JIRM), Capital Modeling and Actuarial teams to support enterprise ALM initiatives CANDIDATE… more
- M&T Bank (New York, NY)
- …management + Minimum of 8 years' statistical analysis programming experience + Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) designation + ... analyzes and manages quantitative/econometric behavioral models used for credit risk , interest rate risk and liquidity ...and a minimum of 6 years' proven quantitative behavioral modeling experience, or in lieu of a degree, a… more
- Neuberger Berman (New York, NY)
- …decision-making and drive innovation in processes and analyses. + Utilize advanced risk and attribution modeling techniques to assess portfolio construction, ... insights. A successful track record of engaging with portfolio manager and senior executives is essential, as is a...or a related quantitative discipline. Deep expertise in advanced risk and attribution modeling techniques is required… more
- M&T Bank (Buffalo, NY)
- **Overview** Responsible for in-depth monitoring, evaluation, and risk identification on the Bank's exposure to counterparty and Investment credit risks, including ... complexity data analysis and interpretation, preparation of trend analysis, Key Risk Indicators (KRIs), exposure limits and various other forward-looking risk… more
- BMO Financial Group (New York, NY)
- …of education and experience. + In depth / Expert knowledge of economics, risk management, modeling /forecasting, and/or stress testing. + Knowledge of banking ... you're looking for your next dream job, consider this one in BMO's Enterprise Risk Group where every colleague helps protect and grow the bank by providing… more
- New York State Civil Service (Albany, NY)
- …and Counterparty Managero Market, Liquidity and Asset Liability Management Risk Manager * Project Management Institute: Portfolio Management ... * Reviewing traded products, related derivative and cash securities pricing techniques, Value-at- Risk , and/or counterparty credit risk modeling including… more
- SHI (Albany, NY)
- …business acumen, critical thinking, and analytical skills are essential. Reporting to the Senior Risk Manager , the SRA plays a key role in implementing and ... need to thrive - in our offices or yours.** **Job Summary** A Senior Risk Analyst (SRA) analyzes data and documentation to assess risks, reviews current processes… more
- Bank of America (New York, NY)
- …risk metrics and reports **Key Requirements** + Minimum of 2-3 years of risk management, risk quantitative/qualitative modeling or other experience in the ... Financial Risk Analytics Sr. Specialist New York, New York;Charlotte,...offered a role with Bank of America, your hiring manager will provide you with information on the in-office… more
- Citigroup (New York, NY)
- …Markets and Products. Knowledge of Equity Derivatives products as a trader or risk manager . + Excellent written and verbal communication skills. Self-starter, ... The Market Risk Senior Officer I is a strategic professional...in MS Office applications (Excel/VBA, Word, PowerPoint) and SQL. Programming/ modeling experience required. **Education:** + Bachelor's/University degree, Master's degree… more
- MUFG (New York, NY)
- …vertical lending business. The position involves the critical functions of assessing risk factors associated with a credit and determining the appropriate rating ... to policy, including evaluation of corporate, regulatory and industry risk , historical operating performance, projected operating performance and capital structure… more
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