• Regulatory Reporting Governance Manager

    Truist (Charlotte, NC)
    …within the Financial Services industry 4. Master's degree in related discipline 5. Financial Risk Manager (FRM)/Certified Financial Analyst (CFA) or ... in the planning and execution of walk through and testing for specific risk programs. 5. Foster relationships between Senior Financial Management leaders, peers,… more
    Truist (10/24/25)
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  • Associate Portfolio Manager , Fixed Income

    CalSTRS (Sacramento, CA)
    …Chartered Financial Analyst (CFA), Certified Commercial Investment Member (CCIM), Financial Risk Manager (FRM), Certified Investment Management Analyst ... Job Posting: Associate Portfolio Manager , Fixed Income State Teachers' Retirement System JC-499715...team. The Fixed Income division is dedicated to maximizing risk -adjusted total return within a multi-asset class portfolio. Fixed… more
    CalSTRS (11/27/25)
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  • Risk Manager II - Real Estate…

    TD Bank (Wilmington, DE)
    …but not limited to: adjudication, exposure management, risk segmentation, and financial return optimization. The Risk Manager II provides critical ... forecasting challenge, and collections and recovery strategy oversight. The Risk Manager II manages the creation, implementation...Are:** TD is one of the world's leading global financial institutions and is the fifth largest bank in… more
    TD Bank (11/21/25)
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  • Associate Portfolio Manager

    CalSTRS (Sacramento, CA)
    …Chartered Financial Analyst (CFA), Certified Commercial Investment Member (CCIM), Financial Risk Manager (FRM), Certified Investment Management Analyst ... Job Posting: Associate Portfolio Manager , Infrastructure (Inflation Sensitive) State Teachers' Retirement System JC-499700 - Associate Portfolio Manager ,… more
    CalSTRS (11/27/25)
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  • Manager , Capital Markets…

    The Cigna Group (Philadelphia, PA)
    This is an individual contributor role The ** Manager , Capital Markets & Financial Risk ,** will play a key role in evaluating, structuring, and executing a ... with internal teams to ensure effective execution and alignment with corporate financial strategy. In addition to transaction execution, this role will support the… more
    The Cigna Group (09/20/25)
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  • Senior Project Manager

    Fiserv (Omaha, NE)
    …of the projects for which you are the primary project manager for the Financial Crimes Risk Manager product along with ensuring ongoing adherence to all ... in a way that moves the world. We connect financial institutions, corporations, merchants, and consumers to one another...make a difference at Fiserv. **Job Title** Senior Project Manager **About your role:** As a Senior Project … more
    Fiserv (11/20/25)
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  • Senior Auditor- Credit Risk Management…

    Capital One (Richmond, VA)
    …+ Professional certification such as Chartered Financial Analyst (CFA) or Certified Risk Manager (CRM) + 3+ years of experience in Credit Risk ... + At least 2 years of experience in auditing, credit risk management, financial analysis, or a combination **Preferred Qualifications:** + Master's Degree in… more
    Capital One (11/21/25)
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  • Senior Manager - Financial Services…

    RGP (New York, NY)
    Reference Point, an affiliate of RGP, is actively recruiting a Senior Manager within our Risk & Regulatory Compliance practice. Our Senior Managers lead teams of ... challenging engagements for Banking, Insurance, and Capital Markets clients. As a Senior Manager in Reference Point's Risk & Regulatory Compliance practice, you… more
    RGP (11/26/25)
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  • Senior Manager , Operational Risk

    Capital One (Mclean, VA)
    …Management, Information Technology, Accounting, or Economics + 5+ years of experience as a Risk Manager within financial services + 5+ years in Commercial ... regularly worked. McLean, VA: $170,800 - $194,900 for Sr. Risk Manager Richmond, VA: $155,300 - $177,200...offers a comprehensive, competitive, and inclusive set of health, financial and other benefits that support your total well-being.… more
    Capital One (11/12/25)
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  • Credit Modeling Quantitative Analyst II (Hybrid…

    M&T Bank (Buffalo, NY)
    risk management + Minimum of 2 years' statistical analysis programming experience + Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) ... in the development and analysis of quantitative/econometric behavioral models used for credit risk , interest rate risk and liquidity risk management, as… more
    M&T Bank (11/25/25)
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