- Mizuho Corporate Bank (New York, NY)
- … trades. . Acting as a business analyst with business users including treasury back office, Risk , and Audit. . Servicing business user inquiries and ... Market Treasury /Money Markets & Funding - Director Key Responsibilities...repo activity as well as issuing CD/CP. . Managing liquidity cash or collateral through money transactions, FX swaps,… more
- JPMorgan Chase (New York, NY)
- …, and Model Risk . CTC Risk is also responsible for the independent risk management of Firmwide Liquidity Risk , Interest Rate Risk , and Capital ... Analyst Program to identify, assess, and manage risk for our global businesses. As a Full-Time ...the firm (New York). + **The Chief Investment Office, Treasury and Corporate (CTC) Risk Team** is… more
- JPMorgan Chase (New York, NY)
- …, and Model Risk . CTC Risk is also responsible for the independent risk management of Firmwide Liquidity Risk , Interest Rate Risk , and Capital ... Available locations: New York, NY + **The Chief Investment Office, Treasury and Corporate (CTC) Risk Team** is an independent risk function that manages… more
- TD Bank (New York, NY)
- …cost and product profitability analyses, specialized reporting and support for special projects. US Treasury Internal Control Analyst is a member of TD's US ... Qualifications** + Strength in supporting governance and control activities in Treasury , Change Management, Risk Management, and Internal Control testing… more
- Aflac (New York, NY)
- AVP, Asset Liability Management (ALM) Quantitative Analyst The Company: Aflac Asset Mgt. LLC The Location: New York City, NY, US, 10005 The Division: Global ... focus on preservation of capital, subject to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management… more
- Citigroup (Getzville, NY)
- …through Trade Support, Risk Management and Portfolio Analysis. This Junior Analyst within Citi Treasury Investments is a developing professional role within ... **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing...managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via… more
- Citigroup (Getzville, NY)
- **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these objectives ... managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via...management of the USD and Non USD interest rate risk . The goal is to achieve Citi's desired net… more
- Citigroup (Getzville, NY)
- …and analytics of the balance sheet. This includes + Participate in managing liquidity and interest rate risk , the capital/legal entity structure and capital ... The Balance Sheet Mgmt Ld Analyst is a strategic professional who stays abreast...in capital markets activities including commercial paper and securitization; liquidity , accrual risk oversight and transfer pricing.… more
- Citigroup (Queens, NY)
- …including Return on RwA, Return on Leverage Ratio Denominator, Return on Risk Based Capital, Trapped Liquidity ; Developing new complex transaction structures ... Citibank, NA seeks a Data Integration Senior Lead Analyst for its Long Island City, NY location....business lines and providing advice on efficient use of treasury (capital, funding and liquidity ) resources; Preparing… more
- Citigroup (New York, NY)
- Citi Treasury Investments (CTI): CTI is responsible for managing Citi Treasury 's central liquidity and investment portfolios, executing the foreign exchange ... other trading desks. CTI manages the USD interest rate risk for Citi's accrual business (ie ex trading) to...FX and interest rate hedges, and; Managing foreign exchange risk for Citi's non-US dollar debts, and; Overseeing non-US… more