- BMO Financial Group (Chicago, IL)
- …to identify, measure, and manage liquidity and funding risks in conjunction with Market Risk Management , businesses, and other Finance areas. + Acts as a ... management strategy for executive and Board approval in collaboration with Market Risk Management to recommend liquidity and funding-related risk … more
- Northrop Grumman (Plymouth, MN)
- …Northrop Grumman Defense Systems (NGDS) is currently seeking a **Earned Value Management ** **Analyst** **3/4** to assist with all business activities associated with ... The selected candidate will join the **Ammunition Operating Unit** to provide business management support. This position will be located onsite at **Plymouth, MN** .… more
- Mizuho Corporate Bank (New York, NY)
- …is looking for a dynamic and skilled individual to spearhead the credit and market risk calculations, review and interpret new regulatory rules, partner with ... calculations Minimum Requirements + 2+ years' experience in FRM, risk management , or related area + Working...experience with Financial Institutions preferred + Good understanding of market risk concepts (Greeks, VaR, stress testing,… more
- Santander US (New York, NY)
- …at all levels are expected to take a proactive and responsible approach toward risk management . **EEO Statement:** At Santander, we value and respect differences ... possibilities **We Want to Talk to You!** **About the Team** Santander's Liability Management / Debt Capital Market Solutions team advises corporate, sponsor,… more
- Wells Fargo (Minneapolis, MN)
- …Wells Fargo's balance sheet including capital, liquidity, funding, and interest rate risk management . Treasury seeks to ensure Wells Fargo always maintains ... the Board of Directors with key information to support risk management , financial performance management ,...basic data to produce reporting and analytics on treasury finance liquidity and funding management + Participate… more
- Citigroup (Charlotte, NC)
- …with all partners in the business, especially IT, Capital Markets, Treasury, CMI Management , Finance and Credit Risk . **Qualifications:** + 5-10 years ... management to focus on key factors driving the risk and return of the portfolio and future new...+ Generate the daily mortgage rate sheet with the market rates and pricing change request, analyze the factors… more
- Mizuho Corporate Bank (New York, NY)
- SUMMARY: + Responsible for active and dynamic portfolio management and monitoring of the Banking Americas lending portfolio with a focus on optimizing profitability ... timely fashion and are signed off by the Portfolio Management team. + Provide onboarding advisory solutions of new...during negotiations. + Advise deal teams on achieving target risk appetite with the use of various risk… more
- Mastercard (Harrison, NY)
- …at a globally scalable level across the different customer lifecycle stages, credit risk management and strategic analytics. Credit Risk management ... to be rewarding. This role will report into Vice President of Product Management (Credit Risk ). The successful candidate's primary responsibilities will be to:… more
- M&T Bank (Buffalo, NY)
- …SEC and bank regulatory reporting + Understanding of internal control frameworks and risk management principles M&T Bank is committed to fair, competitive, and ... with the + Company's Risk Appetite. Identify risk -related issues needing escalation to management . +...deliverables. + Engage in training and development opportunities across Finance . + Promote an environment that supports belonging and… more
- Citigroup (New Castle, DE)
- …SME analytical support for ongoing balance sheet, regulatory and technology projects Interest Rate Risk Management + Model and calculate risk impact of ... Market Intelligence & Strategy Definition + Gather market intelligence and formulate balance sheet management ...Participate in weekly market meeting discussions on market flows, fundamental & technical factors, risk … more