- TD Bank (Greenville, SC)
- …role (L11) in Operational Risk Management (ORM) aligned to the Corporate Functions portfolio + The mandate of this role is to execute on the ORM Framework, ... controls relative to core business processes. The Corporate Functions portfolio can include (but not limited to) oversight of...May be responsible for providing support for other major risk areas (eg Market, Credit , Reputational and/or… more
- Comerica (Dallas, TX)
- …with the Treasury, Portfolio Management, and Finance teams to align on risk management strategies and optimize the interest rate risk profile. Support ... Job Description Interest Rate Risk Analyst The Interest Rate Market Risk...risks associated with interest rate changes within an organization's portfolio . This role involves performing effective challenges on design… more
- Citigroup (Irving, TX)
- …work's quality and accuracy. + Provide timely and critical data to Regulators, Risk Managers, and Senior Management for portfolio monitoring, business reviews, ... risk reporting programs. + Collaborate closely with risk and portfolio managers, Finance, and Technology...skills. + Deep understanding of the banking domain, specifically risk management and credit policies. + Advanced… more
- The Hartford (Hartford, CT)
- …can include positions within credit research, privates, structured credit , quantitative equity, portfolio management and macroeconomic strategy. Analysts ... The Hartford's Insurance Company. Our investment expertise spans across the risk /return spectrum of asset classes, including fixed income, public equity,… more
- JPMorgan Chase (New York, NY)
- …Portfolio Financing desk + Coordinate communications between structuring, the trading desk, Credit Risk , and operational stakeholder groups in order to close ... finance deal triggers and compliance conditions including Market Value triggers, Portfolio value, Concentration limits, and Borrowing Base testing + Serve as… more
- SMBC (Jersey City, NJ)
- …Support the execution of stress tests to assess the resilience of the bank's portfolio under various adverse conditions + Risk Assessment: Help analyze and ... Group offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group has more than 130 offices… more
- Affinius Capital (San Antonio, TX)
- **Company Overview** Along with its affiliate companies, Affinius Capital invests across the risk spectrum for a global client base, managing over $62 billion in ... gross assets under management within a diversified portfolio across North America and Europe. Affinius Capital provides strategic equity and debt capital, including… more
- Truist (Atlanta, GA)
- …to monitor data quality. 5. Previous experience in credit decisioning, managing credit risks, or portfolio management. 6. Ability to work independently or as ... business impact of specific identified issues, as well as assist the Data Risk Director with compiling the results of assigned enterprise data entity reviews.… more
- Truist (Atlanta, GA)
- …solutions transactions while working constructively with the Program Manager and Portfolio Management. You will have the opportunity to collaborate with functional ... partners including Banking, Risk , Operations, and Legal...group reporting to include monthly report, quarterly dashboard, quarterly portfolio review and asset quality reports. **Location:** Truist Securities… more
- Charles Schwab (Lone Tree, CO)
- …be given the opportunity to gain exposure to identifying & mitigating third party risk , managing a centralized portfolio of risk applications, and analyzing ... the next generation of Schwab change makers! The Corporate Risk Management team (CRM) is fundamental to Schwab meeting...enrolled in a bachelor's degree program + Have enough credit hours to put you at a junior level… more