• Summer Internship Program - Risk Strategy…

    Raymond James Financial, Inc. (St. Petersburg, FL)
    Risk Management/Operations Risk Management, Model Risk Management, Credit Risk Management, Market Risk Management, Treasury Risk Management ... prioritize, and manage all material risks to business objectives. Risk organization covers both financial and non-financial risk...and Enterprise Risk Management, Segment Risk Office and Strategy & Operations. This opportunity is… more
    Raymond James Financial, Inc. (08/31/25)
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  • Trading Risk Analyst

    NextEra Energy (Juno Beach, FL)
    …team today. **Position Specific Description** We are looking for a highly skilled, hands-on market risk professional and product controller to join our market ... several areas of support that some firms may operate separately: market risk management, product control, and independent price verification. We see these… more
    NextEra Energy (08/08/25)
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  • VP, Capital Risk Oversight

    Santander US (Miami, FL)
    …in a finance related area. + At least 2-3 years of experience in a market risk or credit risk areas. + Experience with capital regulatory reporting is a ... capital risk management oversight team reports to the Chief Market , Liquidity and Capital Risk Officer. The capital risk function ensures that capital… more
    Santander US (07/31/25)
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  • Credit Risk Analyst

    Coinbase (Tallahassee, FL)
    … team. We are looking for a Risk Analyst with credit or market risk experience across centrally cleared derivatives and credit products (derivatives, secured ... job requirements): * Minimum of 4 years' experience in credit / market risk management associated with derivatives at a global financial institution. * Strong… more
    Coinbase (08/09/25)
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  • Lead Credit Risk and Model Risk

    SolomonEdwards (Tallahassee, FL)
    …discipline. . Strong expertise in modeling concepts, model risk management, and risk domains such as credit, market , liquidity, interest rate, AML, and ... projects. . Prior experience with risk management processes across multiple risk stripes (credit, market , liquidity, AML, etc.) is an asset. **Travel… more
    SolomonEdwards (08/29/25)
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  • Model Validator, Model Risk Management

    Raymond James Financial, Inc. (St. Petersburg, FL)
    … Management team in the independent validation of a variety of RJ models, including market risk , credit risk , asset management, capital markets and BSA/AML ... services industry + Financial and non-financial models in the area of market risk , credit risk , asset management, capital markets and BSA/AML models… more
    Raymond James Financial, Inc. (08/02/25)
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  • Chief Risk Officer - Private Client Group…

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …and tolerance to include daily risk monitoring across all relevant risk stripes including market , credit, liquidity and operational risks. . Identifies ... Client and Asset Management products and an understanding of the market standard risk management practices . Broker-dealer supervisory frameworks,… more
    Raymond James Financial, Inc. (07/31/25)
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  • Audit Manager - Internal Audit - Quality…

    Citigroup (Tampa, FL)
    …risks. + 4+ years of experience in a related role and/ with subject matter expert in Market Risk , Credit Risk , Operational Risk , Model Risk , ... Audit (IA) division provides independent assessments of the company's governance, risk management and internal control environment for key stakeholders including the… more
    Citigroup (07/03/25)
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  • Senior Audit Manager - Internal Audit - Model…

    Citigroup (Tampa, FL)
    …SR 11-7, SR 15-18, OCC 11-12) and model development/validation processes in areas such as market risk , credit risk , loss forecasting, AML, Basel, CCAR, or ... and recommend interventions where needed, proposing creative and pragmatic solutions to risk and control issues + Partner with Directors and Managing Directors to… more
    Citigroup (07/01/25)
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  • Audit Manager - Model Risk Management…

    SolomonEdwards (Tallahassee, FL)
    …specialized role focuses on the auditing and validation of complex models in credit, market , liquidity, interest rate risk , AML, and financial crimes. The ideal ... associated controls. . Plan and execute audits across credit, market , and compliance risk domains. . Collaborate with internal stakeholders to report findings… more
    SolomonEdwards (08/26/25)
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