- US Bank (Cincinnati, OH)
- …to assess and/or manage risks that may impact the company, including credit , financial, liquidity, market , operational, reputational, strategic, and other risks ... as appropriate. Under general supervision, the Business Risk Specialist monitors systems, databases, information, processes or procedures, identifies and escalates matters requiring attention to the appropriate area, performs work on projects and initiatives,… more
- JPMorgan Chase (New York, NY)
- …and 8+ years of experience in financial services with particular focus on credit /counterparty and/or market risk management and working knowledge of climate/ ... environmental risk + Solid understanding of risk management methodologies across asset classes, working knowledge of derivative products and enterprise risk management processes + Strong project manager and problem-solver with a pragmatic approach for… more
- Citigroup (Jersey City, NJ)
- …preferred. + Basic understanding of cash flows, accounting treatments, operational controls, credit risks, and market practices. + Knowledge of various ... investment instruments, including Equity securities, Fixed Income, and Asset-Backed securities. + Proficiency in MS Office Suite. + Proven ability to work effectively as a team player. **Education:** + Bachelor's/University degree or equivalent experience… more
- BMO Financial Group (New York, NY)
- …act as a trusted advisor to trading desks, providing expert guidance on market , credit , operational, and physical/logistics risks. This individual will drive ... innovation in risk analytics, reporting, and tooling, embedding a strong risk culture and ensuring alignment with the firm's risk appetite and regulatory expectations. **Key Responsibilities** + **Strategic Risk Leadership:** Define and execute the first-line… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …which include Non-Financial Risk Management/Operations Risk Management, Model Risk Management, Credit Risk Management, Market Risk Management, Treasury Risk ... Management and Enterprise Risk Management, Segment Risk Office and Strategy & Operations. This opportunity is within Model Risk Management and Data & Analytics teams. **Job Summary** Under general supervision, uses skills gained through training and experience… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …which include Non-Financial Risk Management/Operations Risk Management, Model Risk Management, Credit Risk Management, Market Risk Management, Treasury Risk ... Management and Enterprise Risk Management, Segment Risk Office and Strategy & Operations. This opportunity is within Non-Financial Risk Management (Technology Risk, Third Party Risk, Business Continuity, Risk & Control Self-Assessment) and Strategy &… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …+ Develop and maintain advanced risk analytics solutions to assess exposures in market , credit , collateral, and liquidity risk management. Work closely with risk ... and business teams to enhance methodologies for risk measurement and monitoring. + Oversee the design, construction, and maintenance of dynamic data visualization tools and reports providing real-time insights into risk trends, including ad hoc reporting +… more
- MetLife (Whippany, NJ)
- …the product teams to solve and support various risk applications related to Market , Credit , and Counterparty risk. Additionally, this role interacts with front ... office, middle office, risk, and back-office users daily. This role is primarily focused on .NET and Cloud technologies with exposure to Java and Python. * The ideal candidate for this role needs to have extensive software development experience in .NET, C#,… more
- Citigroup (Wilmington, DE)
- …and validating methodologies for measuring and analyzing various types of risks, including market , credit , and operational risks. The AI Non-Model Risk Review ... team within Model Risk Management is seeking a Senior Validator to join its dynamic and innovative team. This team is responsible for managing model risk associated with AI Non-Model Objects across Citi's diverse lines of business. The portfolio includes a mix… more
- Jackson National Life Insurance Company (Nashville, TN)
- …measures, monitors, analyzes, and reports the risk exposures of the company, namely market , credit , insurance, and model risk. The Financial Risk Director ... reports to the VP, Risk and is a technical role that will be exposed to the full spectrum of the Risk function's responsibilities.** **Essential Responsibilities** + Acts as a key contributor to the development and use of quantitative models and analytical… more