• Capgemini Invent - Financial Services Strategy…

    Capgemini (New York, NY)
    …the following fields: + Operational and Credit Risk + Business transformation (lean management , re-engineering) + RIsk and Finance + Finance and/or ... deep understanding of banking products, processes, organization, regulations and risk management ._ In this role you will...+ At least a Bachelor's degree in Economics, Business, Finance , or Engineering ; a Master's degree in a… more
    Capgemini (08/28/25)
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  • Vice President, Functions Control Officer…

    SMBC (Jersey City, NJ)
    …between the Compliance, 1LoD and 2LoD Non-Financial Risk and Enterprise Risk functions. The control management function also helps drive initiatives to ... will be responsible for supporting and leading the activities related to Risk and Control Self-Assessment, Incident Management and related reporting for… more
    SMBC (08/08/25)
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  • Relationship Manager II - C&IB (F)

    PNC (Atlanta, GA)
    …activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework. **Qualifications** Successful candidates must demonstrate appropriate ... be based in Atlanta, GA or Charlotte, NC. Preferences: Experience with Middle Market & Large Corporate clients (revenue of 50mm+) Formal Credit training Financial… more
    PNC (07/03/25)
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  • Treasury Management Sales Associate

    Bank OZK (Little Rock, AR)
    Job Purpose & Scope The Treasury Management Sales Associate is responsible for providing support to Treasury Management Sales Officers (TMSO) by assisting ... a consultative manner while incorporating a keen awareness of risk and a client focused perspective. Focus is on...clients and prospects in order to develop new treasury management business and to maintain existing business with our… more
    Bank OZK (09/12/25)
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  • Area Sales Manager

    International (MN)
    …who assist in driving new business. + Understand and carry out senior management 's sales objectives with respective market place / territory. to achieve ... and proficient in finance related competencies and capabilities to serve their market , refine and customize the corporate business market to the local level.… more
    International (08/23/25)
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  • Charles Schwab Technology and Data Analytics…

    Charles Schwab (Westlake, TX)
    …Corporate audits cover areas such as marketing, finance , treasury, accounting, vendor management , and human resources. Risk Management audits cover areas ... helping us "challenge the status quo" and transform the finance industry together. The Internal Audit Department (IAD) of...such as compliance, credit, liquidity, market and operational risk management .… more
    Charles Schwab (09/12/25)
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  • Sr Quantitative Financial Analyst

    Bank of America (Charlotte, NC)
    …as well as develop tactical plans. **Responsibilities:** + Performs end-to-end market risk stress testing including scenario design, scenario implementation, ... Maintains and provides oversight of model development and model risk management in respective focus areas to...a **Senior** **Quantitative Finance Analyst / Quantitative Finance Manager** within our Global Risk Analytics… more
    Bank of America (09/12/25)
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  • Managing Director & Head of Credit Research

    Charles Schwab (Chicago, IL)
    …Director, Head of Credit Research will be responsible for leading Schwab Asset Management 's (SAM) credit risk management function through identifying, ... events affecting the investments made by the Schwab Money Market funds, Mutual Funds, ETFs, and Separately Managed Accounts...markets. + Serve as a spokesperson for SAM's credit risk management process, interacting with clients and… more
    Charles Schwab (09/10/25)
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  • Credit Model Development Quantitative Manager…

    M&T Bank (Wilmington, DE)
    …sciences, with proven coursework proficiency in statistics, econometrics, economics, computer science, finance or risk management and a minimum of ... model development and implementation process for behavioral models supporting the firm's credit risk management , interest rate risk , liquidity risk ,… more
    M&T Bank (09/03/25)
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  • Portfolio Mgr. - EIM Public Markets

    FM (Waltham, MA)
    …of relevant experience in investments, financial markets, and/or financial risk management 11-15 years of global financial market experience across asset ... role will also bring in best practices, macro-economic and market outlook to the broader portfolio. The role will...strong teamwork-based mindset, and passion for financial markets, corporate finance and investment risk management .… more
    FM (07/11/25)
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