• VP, Market Risk , Product Control Senior…

    Santander US (New York, NY)
    …Financial Engineering, Data Science, or related field. Preferred 7+ Years Market Risk Management /Product Control including proven experience in the calculation ... P&L team. + Monitor, maintain and generate reports on risk factor observability and asset levelling from...expected to take a proactive and responsible approach toward risk management . **EEO Statement:** At Santander, we… more
    Santander US (07/24/25)
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  • Market Risk VP Quantitative Analyst

    Santander US (New York, NY)
    …securitized products, MBS, RMBS, Agency, Non-Agency, Residential, Commercial, Asset Backed Securities. + Deep understanding of market risk measures, ... industry. We believe that our employees are our greatest asset . Our focus is on fostering an enriching journey...will combine analytical rigor with programming skills to support risk management and financial modeling initiatives. Essential… more
    Santander US (06/08/25)
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  • Market Risk Coverage (Multiple Positions…

    JPMorgan Chase (New York, NY)
    …NumPy, and scikit-learn libraries; fixed income risk hedging and cross- asset class products including government bonds, mortgage- backed securities, swaps, ... portfolios. Evaluate and implement updates to financial models used in market risk management , including challenges to proposed methodology, performing impact… more
    JPMorgan Chase (07/30/25)
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  • Principal Capital Markets Manager, Portfolio…

    Intuit (New York, NY)
    …finance lender or an asset management firm. + Experience with asset backed credit facilities, whole loan sales and securitizations and other bespoke ... + Ability to work cross functionally across multiple teams including compliance, risk , product, credit, legal and engineering and manage projects from start to… more
    Intuit (07/19/25)
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  • Project Finance Portfolio Management

    SMBC (New York, NY)
    …actions for credit approval. **Role Objectives: Delivery** Responsible for effective credit and risk management , with emphasis on adherence to credit policy and ... the US, Canada, Mexico, Brazil, Chile, Colombia, and Peru. Backed by the capital strength of SMBC Group and...requirements, financial analysis/modeling, risk evaluation, on-going portfolio maintenance activities, and as needed… more
    SMBC (07/18/25)
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  • Associate, Trading

    Bank of America (New York, NY)
    …algorithmic trading strategies. + Generate required documentation and testing to support model risk management , ongoing model review and validation. + Work with ... market knowledge within fixed income market, including government bonds, corporate bonds, asset - backed securities, and interest rate derivatives and assess the… more
    Bank of America (08/01/25)
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  • Senior Treasury Portfolio Manager - Mortgage…

    M&T Bank (New York, NY)
    …The Derivatives portfolio is a significant component of the Bank's balance sheet risk management function. . In carrying out the responsibilities, the position ... Program at the bank. Effectively communicates financial market conditions to senior management . Uses knowledge of asset /liability management philosophies and… more
    M&T Bank (07/23/25)
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  • Attorney II - Fixed Income Global Markets

    Bank of America (New York, NY)
    …+ Interpret Relevant Laws, Rules, and Regulations + Policies, Procedures, and Guidelines + Risk Management + Critical Thinking + Decision Making + Issue ... support for structured products, including repurchase agreements related to asset - backed lending, asset - backed ...Management + Legal Drafting and Writing + Regulatory Compliance… more
    Bank of America (07/15/25)
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  • SVP, Credit Review Director

    Banc of California (New York, NY)
    …an annual, risk -based, comprehensive credit review plan to perform asset quality and portfolio management independent assurance testing. Review results ... Review team validates the accuracy and timeliness of asset quality risk ratings, accrual status, and portfolio management requirements are met. Ensures… more
    Banc of California (07/12/25)
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  • Corporate & Institutional Banking Development…

    PNC (New York, NY)
    …Banks),Fixed Income,Foreign Exchange, and Structured Products Group + Investment Banking Analyst: Asset Backed Finance, Debt Capital Markets, and Public Finance ... to ensure they adhere to and support PNC's Enterprise Risk Management Framework. To learn more about...& 63 (79 optional) within 180 days of employment. Asset Backed Finance - SIE, 7, 79… more
    PNC (07/30/25)
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