• Summer Analyst - Risk Management

    MUFG (Tempe, AZ)
    …December 2026 and Spring 2027 + 3.0 GPA or higher + Strong interest in Banking/ Financial Services / Risk Management + Pursuing a Bachelor's degree in ... team will provide more details. **Summer Analyst Program Overview:** Risk Management Summer Analyst Program at MUFG...external events. + **Information Risk ** : The risk of adverse impacts or financial loss… more
    MUFG (08/16/25)
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  • GFC Executive - Customer Risk Assessment…

    Bank of America (Charlotte, NC)
    …plan that defines the scope and risk -based focus of Global Financial Crimes risk management activities. **Additional Role-specific Responsibilities:** + ... + Coordinates with Enterprise Risk Analytics; Model Risk Management ; and Financial Crimes...Business (LoB) Products, Services & Acumen + Financial Crimes Risk Programs + Credible Challenge… more
    Bank of America (08/26/25)
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  • Head of Model Risk Governance

    Guardian Life (New York, NY)
    …Head of Model and Data Risk Management , who reports to our Head of Financial Risk Management . **Location** Hybrid role - 3 days in office in the ... 8+ years of experience in the insurance or financial services industry, preferably with experience in risk management . + Strong preference for FSA or ASA… more
    Guardian Life (09/11/25)
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  • Manager, Interest Rate Risk Governance

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …concepts, practices, and procedures. + Fundamental concepts of financial markets. + Financial risk management and mitigation strategies to support sound ... management of and strategic decision making related to the Firm's interest rate risk management and reporting. A successful candidate will have a demonstrated… more
    Raymond James Financial, Inc. (08/27/25)
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  • Audit Director - Model Risk

    SMBC (Jersey City, NJ)
    …the broad audit program that covers all models used in financial and non- financial risk management across SMBC Americas Division. + Assist Model Audit ... and with a 400-year history, SMBC Group offers a diverse range of financial services , including banking, leasing, securities, credit cards, and consumer finance.… more
    SMBC (07/29/25)
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  • AVP, Quantitative Investment Risk - Asset…

    Aflac (New York, NY)
    …ALM initiatives CANDIDATE QUALIFICATIONS + 6+ years of relevant work experience in financial services risk management (preferably life insurance), ... of Aflac Global Investments (GI) and the Global Investments Risk Management (GIRM) team, participate in Asset...+ Knowledge of statistics and its application to the financial services industry + Life insurance actuarial… more
    Aflac (07/06/25)
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  • Manager, Interest Rate Risk Forecasting

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …concepts, practices, and procedures. + Fundamental concepts of financial markets. + Financial risk management and mitigation strategies to support sound ... of Directors and management committees. + Assists with requests from Risk Management , Internal Audit, and regulators. + Researches and makes recommendations… more
    Raymond James Financial, Inc. (08/27/25)
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  • Quantitative Risk Modeling

    SMBC (Jersey City, NJ)
    …+ Knowledge: Basic understanding of CCAR regulations, global market dynamics, and financial risk management principles + Certifications: Relevant ... and with a 400-year history, SMBC Group offers a diverse range of financial services , including banking, leasing, securities, credit cards, and consumer finance.… more
    SMBC (08/14/25)
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  • Risk Manager - Change Management

    Capital One (Richmond, VA)
    …+ At least 5 years of Project Management experience + At least 3 years of financial services risk management experience + At least 3 years of leading ... ability to manage multiple priorities in a fast-paced, dynamic environment + Strong risk management analytical and problem solving skills + Collaborative team… more
    Capital One (09/19/25)
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  • Senior Analyst, Interest Rate Risk

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …concepts, practices, and procedures. + Fundamental concepts of financial markets. + Financial risk management and mitigation strategies to support sound ... management committees. + Assists with requests from Risk Management , Internal Audit, and regulators. +...financial planning. + Regulatory expectations for Large Financial Institutions (LFI). **Ability to** + Gather and analyze… more
    Raymond James Financial, Inc. (08/26/25)
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