- JPMorgan Chase (New York, NY)
- …+ Coordinate across multiple internal constituencies including Industry and Product Coverage, Credit Risk , Capital Markets, Legal, Compliance and Secondary Loan ... counsel to implement optimal solutions for exposure positions + Approve quarterly Credit Surveillance, accounting and regulatory reporting on portfolio names +… more
- American Express (New York, NY)
- …+ Develop and continuously enhance policies, processes, and controls for mitigating credit risk exposure and preventing fraud + Continuously monitor new ... you make an impact in this role?** Positions in Risk Management lead the development of credit ,...enterprise, and fraud policies designed to profitably grow the portfolio , while ensuring excellent customer experience. These policies utilize… more
- Vanguard (Malvern, PA)
- …relationships with external trading counterparties and internal business partners, such as credit research, investment risk , trading operations, Office of the ... Municipal Index Fixed Income Portfolio Manager The Vanguard Municipal Index team plays...serve as a senior member of the team with portfolio management and analysis responsibilities for Vanguard's growing suite… more
- Nelnet (Lincoln, NE)
- …for various tax credits, especially renewable energy investment tax credits. As this portfolio has grown, tax laws continue to evolve and offer new opportunities, ... has unique characteristics and intricacies in terms of value maximization and risk mitigation. This position will be integral in assisting the team conduct… more
- SMBC (New York, NY)
- …and risk data systems. **Stakeholder Engagement** + Collaborate with internal teams, including credit risk , liquidity risk , operational risk , market ... In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. **Role Description** This...and climate risk . + Knowledge of financial risk especially credit risk . +… more
- Navient (San Francisco, CA)
- …by leveraging data science models and applying business overlays to project portfolio performance. + Monitor and analyze credit metrics across multiple ... key risks, trends, and opportunities. + Prepare and present portfolio forecasts and credit /fraud performance updates to...the Board, and rating agencies. + Validate and challenge credit and fraud risk models to ensure… more
- Berkshire Bank (Worcester, MA)
- Division: Retail Banking Department: My Banker Reports to: VP, MyBanker Portfolio Manager Status: Exempt Grade: 9 Pay range: $52,000 - $87,568 Actual compensation ... service high value banking clients and assists with opening of accounts, portfolio management and administrative functions. Develops and maintains in depth knowledge… more
- BMO Financial Group (Chicago, IL)
- …interaction with clients. + Prepares summary, present facts and offer opinions concerning credit worthiness. + Minimizes BMO's risk exposure by adhering to ... closing and managing multifamily construction loans for Low Income Housing Tax Credit Developments across the US Facilitates decisioning and analysis of all types… more
- JPMorgan Chase (New York, NY)
- …mortgages, deposits, credit cards, and wholesale loans and Support model risk and validation reviews by documenting model logic, assumptions, data sources, and ... Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center...arises from traditional banking activities such as loan extensions, credit facilities, deposits, debt issuance, and the impact from… more
- Bloomberg (New York, NY)
- …models to produce data-driven analytics that enable our clients to proactively manage credit and liquidity risk throughout the trade life cycle. The team ... market surveillance offering, including: - Fund Analytics - quantifying credit , liquidity, and duration risk across fund...of Bloomberg data - Strong knowledge of fund structures, portfolio look-through, and risk analytics - Strong… more