- BMO Financial Group (New York, NY)
- … risk management strategy for executive and Board approval in collaboration with Market Risk Management to recommend liquidity and funding-related risk ... liquidity and funding risks in conjunction with Market Risk Management, businesses, and other Finance...at a group/enterprise-wide level and serves as a senior specialist resource across BMO. + Apply expertise and thinks… more
- Bank of America (Charlotte, NC)
- …management activities, including Fundamental Review of the Trading Book (FRTB) and Basel 3 market risk rule implementation + Review and challenge market ... Enterprise Financial Risk Capital Markets Risk Sr. Specialist Charlotte, North Carolina;New...Requirements:** + **3-5 years of Treasury, Finance, Accounting or Risk Management experience, including Market Risk… more
- Wells Fargo (Charlotte, NC)
- …and trading workflows: order execution algorithms (seeking liquidity while minimizing market impact and volatility risk ); trading venues, order types, order ... model lifecycle including Development, Validation, Usage and Ongoing Monitoring. **Trading and Market Risk Division of MRM** is responsible for the validation,… more
- New York State Civil Service (Albany, NY)
- …certifications: o Associate Professional Risk Managero Credit and Counterparty Managero Market , Liquidity and Asset Liability Management Risk Manager* ... Services, Department of Title Surveillance Operations Analyst (Financial Services Specialist 2 ( Risk ), SG-23) Occupational Category Financial, Accounting,… more
- Bank of America (New York, NY)
- …control team, determining uncertainty reporting and metrics, monitoring pricing and liquidity risk , and escalating issues. Job expectations include partnering ... CFO Valuation Specialist - Global Markets and International Finance New...data back testing, and governance + Collaborates with Traders, Market Risk , Model Risk Management,… more
- Wells Fargo (Charlotte, NC)
- …PFE/XVA combined modeling strategy + Conduct research on trading cost models, liquidity models, risk models, portfolio construction methodology, and signal ... customers and company. They are accountable for execution of all applicable risk programs (Credit, Market , Financial Crimes, Operational, Regulatory Compliance),… more
- TD Bank (Charlotte, NC)
- …of Business:** Governance & Control **Job Description:** The Governance & Control Specialist -US Treasury 1B Testing manages a portfolio of governance and control ... activities for moderately complex or high- risk business or functional area and implements policies/processes and/or initiatives to meet governance and control… more
- Santander US (New York, NY)
- …as fixed income repo and Total Return Swap, as well as money markets in US market . + Experience in Managing liquidity and funding along with the various desks ... LATAM/USA Product Specialist , Structuring Country: United States of America...by professional who closely follows latest trends of the market and adapts them depending on Markets and or… more
- BMO Financial Group (New York, NY)
- …requires a defensive posture to effectively navigate and mitigate risks within the market environment. Provides market risk oversight, monitoring, and ... reporting for equity derivative portfolios. Develops and monitors the market risk management framework that includes the governance framework and practices… more
- Navient (Herndon, VA)
- …multiple workflows. Treasury Operations is responsible for the management of short-term liquidity and financial risk , administration and reporting relating to ... and oversight of the company's banking operations. The Treasury Operations Specialist will primarily be responsible for cash management activities, including daily… more
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