- M&T Bank (Baltimore, MD)
- …+ Minimum of 8 years' statistical analysis programming experience + Strong Python skills + Financial Risk Manager (FRM) or Chartered Financial Analyst ... support data, systems and forecasting needs of Treasury's credit, interest rate risk , liquidity risk , CCAR (Comprehensive Capital Analysis and Review)/stress… more
- SMBC (Jersey City, NJ)
- …CreditEdge) and cloud environments (AWS, Azure) is preferred. **Certifications (Preferred):** + FRM ( Financial Risk Manager ), CFA, or CRC (Credit Risk ... SMBC Group is a top-tier global financial group. Headquartered in Tokyo and with a...development, validation finding remediation, and maintenance of advanced credit risk models for wholesale and commercial portfolios, ensuring alignment… more
- Regions Bank (Charlotte, NC)
- …Certified Anti Money Laundering Specialist (CAMS) + Certified Information Security Auditor (CISA) + Financial Risk Manager (FRM) + Financial Industry ... of the system. **Job Description:** At Regions, the Enterprise Risk Testing Analyst is a second line of defense... Testing Analyst is a second line of defense risk management function that ensures the development and maintenance… more
- Truist (Charlotte, NC)
- …Preferred Qualifications: 1. Master's degree in Finance or equivalent science/academic field. 2. Financial Risk Manager (FRM)/Certified Financial Analyst ... America) **Please review the following job description:** First line of defense risk professional within the Enterprise Controls and Change Office, responsible for… more
- WTW (Nashville, TN)
- …Master's Degree is preferred. + Preference provided to candidates with any of the following: Financial Risk Manager (FRM), Professional Risk Manager ... **Description** **The Role** Head of Governance, Risk , Controls & Compliance will report to the...responsible for leading the transformation and maturity of governance, risk reduction, and control practices across global technology while… more
- Regions Bank (Birmingham, AL)
- …+ Experience in Agile Software Development + Chartered Financial Analyst (CFA), Financial Risk Manager (FRM), or other relevant certifications **Skills ... logging into the careers section of the system. **Job Description:** At Regions, the Risk Quantitative Model Validation Analyst serves as a member of a key strategic… more
- Capital One (Mclean, VA)
- …of experience working with Python, R, or SQL + Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM) + At least 1 year of experience with ... Senior Analyst, Capital Markets and Risk This position in Capital One's Capital Markets...At least 2 years of experience working in the financial industry **Preferred Qualifications** + Master's degree in finance,… more
- 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
- Trane Technologies (Davidson, NC)
- …solutions to mitigate and/or transfer risk to protect the corporation's physical and financial assets. The Senior Manager - Risk Management & Insurance ... resource in advising Trane Technologies business management on the identification and management of risk exposures. As such, the Senior Manager - Risk … more
- M&T Bank (Iselin, NJ)
- … 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