- Mizuho Corporate Bank (San Francisco, CA)
- …origination, structuring and execution of financial advisory, global capital markets, financial risk management , structured & syndicated finance , and other ... a top tier global bank + Knowledge of corporate finance , securities, financial markets and risk & pricing analysis + Must have experience in the general TMT… more
- MUFG (Los Angeles, CA)
- …PMG will be responsible for the implementation of the credit risk management function within GCIB (Global Corporate & Investment Bank) and more specifically ... who are in the entertainment industry. As an experienced corporate finance professional, you will be part... framework **Support and mentor junior analysts in credit risk management process:** + Guide, train and… more
- Mizuho Corporate Bank (New York, NY)
- …to the Healthcare industry is a huge plus + Knowledge of corporate finance , securities, financial markets and risk & pricing analysis + Aptitude to ... for multiple healthcare sectors + Conduct and model a broad range of corporate finance alternatives and due diligence for client transactions including M&A,… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …and Responsibilities** + Oversees preparation and approval of Loan Reviews for certain Corporate Loans + Recommends risk rating upgrades and downgrades of ... transition to electronic imaging of credit/collateral files. + Works closely with Credit Risk Executive and Corporate Banking Executive to administer all aspects… more
- Mizuho Corporate Bank (New York, NY)
- …+ Work with stakeholders across business and functional teams including Model Risk Management during model development, validation, and implementation process. + ... 3+ years of experience managing a team of credit risk quants. + Advanced degree in Quantitative Finance...loans with practical implementation experience. + Expertise in Model Risk Management frameworks, applicable regulations, and best… more
- FirstBank PR (San Juan, PR)
- …you. A Brief Overview Performs understanding and validation of modeling methodologies and other risk management activities consistent with the Model Risk ... or other quantitative disciplines is required . 2+ years working experience in risk management , statistical analysis, modeling, or other quantitative discipline… more
- 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 ... A minimum of 3 years of experience covering project finance transactions in a portfolio management team...closing in short turnaround, Broad knowledge of the Project Finance market and the ability to manage risk… more
- SMBC (New York, NY)
- …analysis or in a corporate banking group preferred + Knowledge of basic corporate finance , accounting, and FX hedging + Ability to learn financial analysis + ... a competitive portfolio of benefits to its employees. **Role Description** The Fund Finance Solutions Portfolio Management Analyst is a supporting member of the… more
- JPMorgan Chase (Jersey City, NJ)
- Global Finance & Business Management works to...or more of the following roles: + Third Party Risk Management + Vendor Management /Delivery ... lifecycle of vendor engagement, starting with onboarding into the corporate tools through steady state and off-boarding. The position...Recent experience in vendor portfolio management , delivery management , 3rd party risk management ,… more
- US Bank (New York, NY)
- …of environmental finance professionals as an Assistant Director of Asset Management (ADAM). The ADAM's responsibilities include leading a team of Asset Managers ... equity, project finance , or commercial lending. + Expertise with investor risk mitigation. Ability to apply knowledge to new business opportunities (eg, new tax… more