• AVP Stress Testing, Analytics

    Bank OZK (Dallas, TX)
    …components of the Program such as peer and/or panel bank analyses, portfolio credit loss modeling, allowance modeling, econometric modeling, interest rate ... the development and ongoing management of a stress testing risk identification program focused on market, credit ,...business units within their area of responsibility. + Supports senior leaders, business unit managers, and Enterprise Risk more
    Bank OZK (09/09/25)
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  • Director of Banking Product Business Operations

    American Express (New York, NY)
    …high exposure. The Fraud, Credit Bust Out (CBO), Banking Product & Payments Risk Organization is a global team of risk officers, data scientists, and product ... managers that are building innovative solutions across AMEX's credit , banking, and payment solution portfolios. The banking vertical...The banking vertical owns the end-to-end deposit & fraud risk strategy for AMEX's digital banking portfolio .… more
    American Express (09/13/25)
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  • Middle Office Analyst - Level III or Sr

    Dairyland Power Cooperative (La Crosse, WI)
    …such as Mark-to-Market (MtM), Margin-at- Risk (MaR), Value-at- Risk (VaR), and credit exposure. * Monitor daily power supply portfolio costs and net ... of middle office functions that connect the front office (trading and portfolio management) and the back office (settlements and accounting). This role plays… more
    Dairyland Power Cooperative (09/12/25)
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  • Workout Officer - Associate - Remote

    Santander US (Boston, MA)
    …and implements solutions to existing programs in accordance with risk management objectives and corporate budgets. **Ideal Candidate Qualifications:** + ... * Manages accounts of low complexity, in accordance with risk management objectives and corporate budgets. * Facilitates the...* Facilitates the resolution of problem loans through improved credit quality or repayment, in a cost effective manner.… more
    Santander US (09/12/25)
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  • Vendor Finance Program Manager - Golf and Turf

    Wells Fargo (Irving, TX)
    …on opportunities for modifications, renewals, and refinancings + Participate in regular portfolio reviews to manage risk and lead problem loan resolutions, ... customers and company. They are accountable for execution of all applicable risk programs ( Credit , Market, Financial Crimes, Operational, Regulatory Compliance),… more
    Wells Fargo (09/10/25)
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  • Commercial Real Estate Summer Intern

    US Bank (New York, NY)
    … requests, and delivery of recommendations tied to analysis and assessment of credit risk . You will receive accelerated learning and skill development through ... trending reports (QTR) and annual reviews of existing clients. + Support senior credit analysts in underwriting new business opportunities, financial spreading,… more
    US Bank (09/03/25)
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  • Director Structured Finance Methodologies - POD…

    S&P Global (Englewood, CO)
    …capital markets (preferably Structured Finance), financial instruments with an emphasis on credit risk modeling are preferred; + Basic understanding of database ... Structured Finance (SF) team is responsible for a vast portfolio of criteria and models spanning ABS, RMBS, CMBS...or advanced degree preferred; + Knowledge of financial or credit risk modelling preferred; + Proficiency in… more
    S&P Global (09/09/25)
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  • Bilingual Sr Relationship Manager, Director…

    MUFG (Los Angeles, CA)
    …comprehensive banking services and cross-sell MUFG products, while effectively managing credit risk in collaboration with colleagues in Japanese Corporate ... will provide more details. **Job Summary** **:** As a Senior Relationship Manager ("Sr. RM"), the individual is responsible...of Defense" taking part in client diligence along the Portfolio Management Team & Credit Department in… more
    MUFG (06/28/25)
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  • Model Validation 2nd LOD Lead Analyst

    Citigroup (Tampa, FL)
    …2nd LOD Lead Analyst for its Tampa, Florida location. Duties: Validate credit risk models using statistical/mathematical tools and economic/finance theories. ... to modeling data. Assess and evaluate impact of macroeconomic scenarios on bank's credit portfolio . Design and execute quantitative and statistical testing on… more
    Citigroup (09/12/25)
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  • VP, Analytics

    Bank OZK (Dallas, TX)
    …and CRE stress testing, Credit Risk Scorecards, Current Expected Credit Losses ('CECL'), portfolio analytics, market and economic analytics, etc. May ... responsible for directly managing staff with equivalent or less senior titles within the Analytics team. Essential Job Functions...may include capital and CRE stress testing, Current Expected Credit Losses, Credit Risk Scorecards,… more
    Bank OZK (08/19/25)
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