- CoStar Realty Information, Inc. (Boston, MA)
- …you'll have the chance to transform product concepts to features in our cutting-edge risk management solution for lenders. This position is located in Boston, MA ... Senior Business Analyst , CoStar Risk Analytics Job Description...analytic products in related industries such as banking, insurance, investment management , or accounting + Aptitude for… more
- Insight Global (Salt Lake City, UT)
- Job Description A large investment banking client is looking for a Technology Vendor Risk Analyst to join Global Banking and Markets Third Party Risk ... appropriate - Engage with the divisional contacts to raise awareness of the third-party risk management framework as well as develop the risk management … more
- Robert Half Technology (West Des Moines, IA)
- Description We are looking for a Senior Business Analyst with expertise in risk management and derivatives to join our team in West Des Moines, Iowa. In this ... to ensure seamless integration of systems and data across investment , risk , finance, and actuarial functions. Requirements...field. * At least 5 years of experience in risk management , IT, trading, derivatives, or similar… more
- Serco (Washington, DC)
- …here to apply now (https://careers-sercous.icims.com/jobs/71621/supply-chain- risk - management - analyst ... customers' evolving demands. We are seeking a _Supply Chain Risk Management Specialist._ This role is a...Congress regarding MIB spend goals and associated return on investment . + Travel as required to carry out the… more
- MUFG (New York, NY)
- …detailed documentation summarizing opportunity analysis, including expected financial results and risk analysis for senior management and control functions + ... infrastructure sectors + Strong quantitative skills focused on financial analysis, credit risk and experience developing project finance models with Excel + Success… more
- Fannie Mae (Reston, VA)
- …will help manage and perform analytics and reporting functions supporting model governance and risk management . *THE IMPACT YOU WILL MAKE* The * Model Risk ... finance business, including mortgage products and securities, borrower behavior, investment and hedging strategies, residential property valuation, macroeconomic models,… more
- Oracle (Washington, DC)
- …be responsible for leading program activities and ensuring successful delivery across Oracle's risk management framework. The ideal candidate will have a solid ... management best practices is essential for applying our risk management framework. The responsibilities for this...Pre-tax commuter and parking benefits 7. 401(k) Savings and Investment Plan with company match 8. Paid time off:… more
- Citigroup (Getzville, NY)
- …measuring, monitoring and controlling counterparty risk for Funds, covering Asset Management Companies, Investment Advisors as Agent, and Pension Funds. ICM ... experience, including 3-5 years of credit experience in Banking, Credit Risk Management or equivalent credit experience + Strong knowledge of Wholesale Credit… more
- Citigroup (Getzville, NY)
- …monitoring and controlling counterparty risk for Funds, covering Asset Management Companies, Investment Advisors as Agent, and Pension Funds. **Key ... experience, including 2-3 years of credit experience in Banking, Credit Risk Management or equivalent credit experience. + Strong knowledge of Wholesale Credit… more
- BMO Financial Group (New York, NY)
- …financial modeling to support strategic recommendations to clients. + Considers risk , internal controls and compliance as part of day-to-day accountabilities and ... + Financial analysis training and experience. + Relevant experience within investment and/or corporate banking. + Shows initiative, prioritizes work, multi-tasks… more