- Citigroup (New York, NY)
- …of risk management and reporting processes and an understanding of various Risk categories, including Credit Risk , Market Risk , Liquidity Risk ... with the business and technology. A good foundation in Risk systems, data and reporting will help...data management related initiatives + Subject matter knowledge of Counterparty Credit risk BAU and stressed calculations.… more
- Citigroup (New York, NY)
- …reporting and processes a must have + Subject matter expertise in Counterparty Credit Risk (CCR) and/ or Market Risk a plus + Thorough knowledge of ... successful, on-time execution of Risk BCBS 239 Key Enterprise Risk Management Reporting Use Cases within the framework of the Enterprise Central Data Office… more
- City National Bank (New York, NY)
- … limits (eg industry, product, financial institutions, sovereign), portfolio management and risk reporting , appropriate and timely escalations, etc. * Proactive ... Proactively manage all applicable risks (eg transactional, operational, credit, counterparty , market , regulatory, compliance), self-identification of process/policy/product… more
- Citigroup (New York, NY)
- …capacity to make strategic decisions under review. + Proficiency in credit analysis, counterparty risk , and portfolio stress testing, including the ability to ... management activities related to the credit portfolio, including risk assessment, mitigation, monitoring, and reporting to...predict and plan for potential market fluctuations whilst challenging these predictions. + Mastered use… more
- PNC (New York, NY)
- …success. As a Quantitative Analytics & Model Development Group Manager Sr. within PNC's Market Risk organization, you will be based in New York, NY, Pittsburgh, ... for the organization. The candidate will work closely with Market Risk Oversight, Model Validation, Treasury, ALM,... and liquidity including all aspects of finance, CCAR, counterparty , and PFE, CVA, and FRTB. **Job Description** +… more
- Manulife (New York, NY)
- … risk + Provide quarterly, annual & any ad hoc AML program reporting on KPI's/KRI's, trends, high risk relationships & AML/TF/KYC incidents/events escalation ... (OECD) Common Reporting Standards (CRS) + Working knowledge of sanction risk , industry best practices and alignment objectives to corporate risk goals… more
- MongoDB (New York, NY)
- …+ Drive strategic financial risk management, including currency, interest rates and counterparty risk while ensuring alignment with the companies risk ... and controls, improving automation, visibility, and accuracy in cash positioning, reporting , and risk management + Ensure compliance with treasury-related… more
- SMBC (New York, NY)
- …deal parties, and process closing in short turnaround, Broad knowledge of the Project Finance market and the ability to manage risk within a complex and diverse ... the current compensation paid in their geography and the market for similar roles at the time of hire....approval. **Role Objectives: Delivery** Responsible for effective credit and risk management, with emphasis on adherence to credit policy… more
- Citigroup (New York, NY)
- …branch network, robust risk management, real-time controls, product innovation, dynamic reporting , and market thought leadership. The business is seeking a ... Funds, Insurance Companies, ETF Issuers, and Mutual Funds. Leveraging our market -leading combination of securities lending expertise, local branch network, and… more
- MUFG (New York, NY)
- …Credit Portfolio Management (CPM) is a global function that utilizes a market -based approach toward portfolio management from a single-name, industry and portfolio ... origination teams to analyze new business opportunities, create and execute risk reduction solutions (using instruments such as CDS, Credit Insurance,… more
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