• AVP, Portfolio Analyst

    Aflac (New York, NY)
    …billion. The investment teams support GI's overall goals and objectives by providing market insight and in-depth knowledge of assigned asset classes. GI oversees the ... the remit of the approved investment initiatives. Reports to: Vice President, Portfolio Manager - Real Estate Owned Principal Duties & Responsibilities + Manage and… more
    Aflac (06/24/25)
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  • Vice President; Trading Strategist

    Bank of America (New York, NY)
    …to learn, grow, and make an impact. Join us! **Responsibilities** + Conduct quantitative analysis of the current markets, trends and trading strategies. + Perform ... trading strategies. + Generate required documentation and testing to support model risk management ongoing model review and validation. + Work with front office… more
    Bank of America (07/25/25)
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  • CFO Valuation Specialist - Global Markets…

    Bank of America (New York, NY)
    …metrics, market data back testing, and governance + Collaborates with Traders, Market Risk , Model Risk Management, Front Office Quants, Product ... include ensuring execution of price testing is consistent with methodologies and market conditions in partnership with the Product Finance control team, determining… more
    Bank of America (07/03/25)
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  • Model Validation Analyst

    SMBC (New York, NY)
    …experiences, and an analysis of the current compensation paid in their geography and the market for similar roles at the time of hire. The role may also be eligible ... portfolio of benefits to its employees. **Role Description** Reporting to the Manager , Model Validation Group, the Model Validation Analyst plays an active role… more
    SMBC (07/17/25)
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  • Investment Banking Program Analyst (New York)…

    Wells Fargo (New York, NY)
    …customers and company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational, Regulatory Compliance), ... customers and company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational, Regulatory Compliance),… more
    Wells Fargo (07/15/25)
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  • Investment Analyst

    Wellington (New York, NY)
    …various topics such as fundamental factors, manager research, asset allocation, quantitative investing, and risk management. The Investment Analyst will work ... proprietary factor, hedged, and extended strategies. The team manages portfolios, conducts market and manager research, and partners with clients on investment… more
    Wellington (06/26/25)
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  • AVP, Model Validation

    Synchrony (New York, NY)
    …forecast and other models and ensure they are meeting the related Model Risk Management policies, standards, procedures as well as regulations (SR 11-7). This role ... trends based on large datasets and identify key model risk , limitations and issues for in-house developed models as...of the projects with minimal guidance from the review manager /supervisors + Provide sufficient coaching and guidance to junior… more
    Synchrony (07/23/25)
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  • Senior Analyst

    S&P Global (New York, NY)
    …relationships, and reputation. Your contributions will help grow interest in a market -leading range of indices, including world-famous benchmarks like the S&P 500(R) ... asset classes and indicators, as well as innovative new market segments. You will also have the chance to...distribution Although you will primarily support your direct line manager , your work will also support a team of… more
    S&P Global (07/29/25)
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  • Director / Senior Trader

    Bank of America (New York, NY)
    …Join us! **RESPONSIBILITIES** : * Work independently and is responsible for risk management and trading activities. * Execute transactions in accordance with ... established trading strategies and risk parameters. * Apply knowledge... parameters. * Apply knowledge of product area including market liquidity and volatility, pricing, and trading/hedging strategies. *… more
    Bank of America (07/24/25)
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  • Director or Managing Director, Tactical & Accrual…

    BMO Financial Group (New York, NY)
    …the Head of Tactical & Accrual Trading, the PM is expected to be market focused; develop and execute trading strategies in various fixed income sectors; take ... calculated proprietary risk and make effective trading decisions within the context...a focus for optimizing a portfolio based on ongoing market conditions. The role is expected to work closely… more
    BMO Financial Group (05/31/25)
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