- Textron (Hunt Valley, MD)
- …with various risk profiles and assessments by commodity groups and economic market projections to enable the best, lowest risk recommendation to be chosen ... pricing\. **Qualifications** **Qualifications** * Bachelor's degree in Supply Chain Management , Business Administration, Economics, Engineering, Finance , Mathematics,… more
- Qualtrics (Seattle, WA)
- …practices in investor communications. + Deliver high-impact updates to senior management on investor sentiment, market perceptions, and competitive positioning. ... closely with various departments across the organization to ensure optimal cash management , funding, and financial risk mitigation. Our team culture emphasizes… more
- Oregon State University (Corvallis, OR)
- …12-month, professional faculty position. The Treasurer directs all activities involving cash management , debt management , capital market financing, banking ... Position Details Position Information Department Budget & Finance (QFA) Position Title Officer-Treasury Job Title Treasurer...relationships, merchant services and oversight of investment management , while limiting risk to the university.… more
- MetLife (Whippany, NJ)
- …interact with various teams across MIM, including Infrastructure, Private Asset Based Finance , Client Portfolio Management , Insurance Asset Management , ... Role Value Proposition: Based in Whippany, New Jersey, MetLife Investment Management ("MIM") is one of the largest institutional investors and asset managers in the… more
- CIBC (New York, NY)
- …modeling, conduct due diligence on new transactions and present proposed transactions to management and credit risk management . In addition to conducting ... within the Corporate Bank such as Consumer, Industrial and Telecom, Project Finance and Infrastructure, Power and Utilities, NBFI, Syndications, and Leveraged … more
- Citigroup (Tampa, FL)
- …performance, and execute independent challenges and assessments in accordance with Model Risk Management Policies and Procedures. Conduct analysis and package ... related position involving model development, validation and performance control in support of risk management for a global financial services industry. 2 years… more
- Wells Fargo (Charlotte, NC)
- …leadership, operations leadership, technology, third parties, Risk , Regulatory, Finance , Group Portfolio Delivery, Enterprise Change- Management , Controls and ... business objectives + Identify opportunities and strategies for process improvement and risk control development within the Operations management functional area… more
- Wells Fargo (New York, NY)
- …priorities and that satisfy Commercial Banking stakeholders and Wells Fargo's risk management priorities and commitments. + Strategically collaborate with ... team on customer credit related inquiries within Supply Chain Finance . The team member in this role will use...company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational,… more
- Nuveen Investments (New York, NY)
- …and timely market perspectives. Client Portfolio Managers act as market -facing proxies for the portfolio management team, communicating investment strategy, ... Business Acumen, Collaboration, Communication, Consultative Communication, Data Analysis, Influence, Market /Industry Dynamics, Problem Solving, Relationship Management **Anticipated… more
- BlackRock (New York, NY)
- …operations tools on a single platform to power informed decision-making, effective risk management , efficient trading, and operational scale. Through Aladdin, ... spectrum of the investment cycle, including pre-trade decisioning, order management , trading, investment operations, risk management /compliance/oversight,… more