- SMBC (Charlotte, NC)
- …strong ability to multi-task and solve business problems.* Working experience with Market / Credit Risk regulations like LIBOR Transition, What-if Analysis, CCR, ... Market / Credit Risk Feeds, Stress Testing, Reporting, etc. is desirable. * Highly developed sense of accountability and follow-through with an ability to… more
- Mizuho Corporate Bank (New York, NY)
- …- Knowledge of derivatives pricing theory across one or more asset classes (IR/FX/ Credit /Equity), traded products and market / credit risks. Knowledge of ... stress testing methodology of trading and banking portfolios for market , credit and liquidity is a plus. - Minimum of 5 - 7 years of work experience performing… more
- Celtic Bank (Salt Lake City, UT)
- …and present loan credits to Credit Committee. + Recognize target market credit opportunities and present funding solutions. + Obtain customer-signed ... nationwide. + Develop and cultivate relationships with customers and brokers who market directly to small business owners. + Utilize networking and referrals to… more
- PenFed Credit Union (Mclean, VA)
- …two (2) years of working experience relating to financial services marketing, analytics, market research, or credit risk portfolio management are required. Such ... Tysons, Virginia location. The primary purpose of this job is to drive credit card product and digital experience, in support of effective portfolio growth,… more
- Citizens (Boston, MA)
- …Investments + Low Income Housing Credit (LIHTC) is highly preferred. + Historic Tax Credit (HTC) and New Market Tax Credit (NMTC) a benefit + Strong ... Portfolio Manager II position is responsible for prudent underwriting and effective credit and risk administration with particular emphasis on adherence to credit… more
- SMBC (New York, NY)
- …risk into the bank's overall risk management framework, including integration into credit , liquidity, operational and market risk, etc. Support development of ... stress testing processes in each risk stripe such as credit , liquidity, operational and market risk. Collaborate...stripe such as credit , liquidity, operational and market risk. Collaborate with risk verticals to ensure climate-related… more
- Scotiabank (New York, NY)
- …a Senior Manager, US Market Risk in New York, NY to contribute to the market risk management of the US Credit Trading, US Structured Credit Trading, and ... of a Global Risk Management team encompassing TFRM, Counterparty Credit Risk, Exposure and Capital Analysis, Market ...Counterparty Credit Risk, Exposure and Capital Analysis, Market Risk Measurement as well as the individual risk… more
- Citigroup (Irving, TX)
- …and validation of methods for measuring and analyzing all types of risks, including market , credit , and operational. In areas related to credit risk, ... role develop, enhance, and validate models for measuring obligor credit risk, or early warning tools that monitor the... risk, or early warning tools that monitor the credit risk of corporate or consumer customers, besides being… more
- JPMorgan Chase (Chicago, IL)
- …preliminary deal screening for secured loan opportunities, performing a variety of credit analysis. + Conduct market analysis and creates underwriting/screening ... materials. + Understand and apply credit and regulatory policies. + Work with Credit Originators to size and structure loans to mitigate risks and liabilities. +… more
- Citigroup (Wilmington, DE)
- …and validation of methods for measuring and analyzing all types of risks, including market , credit , and operational. In areas related to credit risk, ... role develop, enhance, and validate models for measuring obligor credit risk, or early warning tools that monitor the... risk, or early warning tools that monitor the credit risk of corporate or consumer customers, besides being… more