- SMBC (New York, NY)
- …Company / Broker Dealers including Reg YY Liquidity requirements * Familiarity with Market Risk a plus * Understanding of audit techniques, internal controls, ... the current compensation paid in their geography and the market for similar roles at the time of hire....finance industry. * Subject matter expertise in liquidity risk and banking / capital markets products. * Advanced… more
- Truist (Boca Raton, FL)
- …requirements of the Tech organization. Identify and resolve complex technical, operational, risk management , and organizational challenges for an LOB or several ... service and/or operational challenges. Identifies and resolves technical, operational, risk management , and organizational challenges. 6. Maintain appropriate… more
- USAA (Tampa, FL)
- …analytics, and risk assessments; OR an advanced degree in Business Management , Finance , Economics, Engineering, or in a Mathematical discipline. + Developing ... risk and financial reporting in support of senior management and committee oversight of existing and emerging risks...procedures. **What you have:** + Bachelor's degree in Business Management , Finance , Economics, Engineering, or in a… more
- ManpowerGroup (New York, NY)
- … risk within market risk functions. + Prepare detailed risk reports, dashboards, and presentations for senior management and regulatory bodies. + ... risk experience to join their team. As a Market Risk Manager, you will be part of the risk management department supporting the overall risk … more
- Federal Home Loan Bank of Boston (Boston, MA)
- …to secure advances and other extensions of credit. This entails conducting credit and market risk analysis of, and reporting on, the Bank's Credit Models and ... Senior Credit Model Risk Analyst & Supervisor Location Boston Apply Now...leading provider of wholesale funding for housing and community finance in New England serving more than 420 financial… more
- M&T Bank (Washington, DC)
- …engineering sciences, with proven coursework proficiency in statistics, econometrics, economics, computer science, finance or risk management + Minimum of 8 ... models used for credit risk , interest rate risk and liquidity risk management ,...Masters' of Science or Doctorate degree in statistics, economics, finance or related field in the quantitative social, physical… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- … Risk Management , Model Risk Management , Credit Risk Management , Market Risk Management , Treasury Risk Management and ... to business objectives. Risk organization covers both financial and non-financial risk management activities which include Non-Financial Risk … more
- PNC (Birmingham, AL)
- …a team of 1LOD Technology Risk Professionals that provide Technology Risk Management support for ALM, Capital Markets, and Finance , and Risk . You ... will be part of the 1LOD Technology Risk Management Department. Some specific responsibilities include...of technology * Understanding of ALM, Capital Markets, and/or Finance LOBs * Excellent executive presence and able to… more
- Citigroup (New York, NY)
- …and Senior Executives. + Working knowledge in a broad range of Risk Management disciplines including Counterparty Credit, Market , and Risk Analytics. + ... of this role is to support the execution of regulatory interactions across Risk Management , to ensure the organization is responsive, agile and well-prepared… more
- Citigroup (Irving, TX)
- …ongoing basis, assess whether the stress testing results are meeting the business and risk management needs and contribute the model development agenda and its ... test narratives and current conditions. + Partner closely with Finance regarding the operational risk component of...skills. + Deep understanding of the banking domain, specifically risk management and credit policies. + Advanced… more