- Bank of America (Charlotte, NC)
- …to policies, protocols, and procedures (active engagement as policies are updated) + Review new products, where liquidity risk is impacted + Perform regular ... of Risks, including severity and likelihood as well as review & challenge the Line of Business + Define...Connection to and execution of responsibilities of the independent risk function **Skills:** + Analytical Thinking + Credit… more
- Veterans Affairs, Veterans Health Administration (Seattle, WA)
- Summary The Risk Manager (RM) Registered Nurse (RN) is responsible for identifying/ assessing risk and developing strategies to manage risks stemming from ... to: Performs clinical reviews, reviews of Tort Claims and recommends Peer Review when quality care issues are recognized. Collaborates with Medical Center's Patient… more
- Regions Bank (Birmingham, AL)
- …with Regions' Retention Schedule for a minimum of three years. You may review , modify, or update your information by visiting and logging into the careers ... and sending requests, managing risks, and ensuring compliance adherence + Ensures risk management throughout the life cycle of each product, ensuring proper … more
- Bank of America (New York, NY)
- …appropriate capital positioning across legal entities and accurate capital and risk -weighted asset calculations. **Key responsibilities:** + Review and challenge ... key capital management activities, including banking book risk -weighted assets (RWA) calculations and implementations + ...drive optimal business outcomes **Skills:** + Analytical Thinking + Credit and Risk Assessment + Critical Thinking… more
- Scotiabank (Dallas, TX)
- …the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the financing and ... screener and new initiatives + Work closely with Enterprise Risk Management to ensure efficient review of all screener/NIAs + Follow-up with Control & Support… more
- Citigroup (New York, NY)
- …to ensure thorough concise of methodologies and models. Interaction with Market and Credit Risk Managers to improve accuracy of regulatory and management ... coverage of several businesses and operations within Global Equities. **Responsibilities:** Market Risk Management oversight of Global Equities + Review and… more
- Comerica (Dallas, TX)
- …of interest rate dynamics, financial markets, and regulatory requirements. Position Responsibilities: Risk Analysis and Monitoring Review interest rate risk ... challenge and subject matter expertise where appropriate. Provide support to the annual review of interest rate risk under the framework of regulatory… more
- Huntington National Bank (Cleveland, OH)
- …Model Development: Lead the creation and enhancement of complex quantitative models for credit risk , PPNR, loan origination, and portfolio management. + Data ... Description Quantitative Risk Modeling Lead Summary:The Quantitative Risk ...monitoring of advanced quantitative models for consumer and commercial credit , PPNR, loan origination, and portfolio management. This role… more
- New York State Civil Service (New York, NY)
- …* Reviewing traded products, related derivative and cash securities pricing techniques, Value-at- Risk , and/or counterparty credit risk modeling including ... institutions/markets. * Performing financial and economic risk analysis, including portfolio risk analysis, credit , market and counterparty risk stress… more
- Navy Federal Credit Union (Pensacola, FL)
- …technology infrastructure, applications, and data. Assist in developing and implementing risk management strategies, perform risk assessments, and ensure ... "Intern Proof of Enrollment" section of the application. Responsibilities + Conduct risk assessments and vulnerability analyses on existing and new technologies. +… more