- 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
- Citigroup (New York, NY)
- …and Investment Counselors to evaluate client profiles in terms of return expectation, risk appetite, time horizon, liquidity needs, etc. and recommend solutions ... Job Description The Investment Specialist Sr. Lead is a strategic professional who...client segments. + Understand and discuss current and historical market conditions across the globe. Communicate complex technical details… more
- Nuveen Investments (Chicago, IL)
- …Accountability, Capital Markets, Deal Structure, Financial Markets Impact, Financial Risk Management, Financing Strategy, Investment Product Liquidity ... the team serves as the primary connection for ETF Market Makers, Authorized Participants, and Exchanges. The team is...assist in growing Nuveen's ETF prominence. The Capital Markets Specialist role will primarily focus on managing the ETF… more
- Tradeweb (New York, NY)
- …https://www.dol.gov/ofccp/regs/compliance/posters/pdf/eeopost.pdf **Group Details** Tradeweb is seeking an Integration Specialist to join our Market Support ... to improve and support client integration capabilities. This function reduces operational risk and greatly improves efficiency and automation for clients and dealers… more
- Charles Schwab (Westlake, TX)
- …they provide specialized products to meet income generation, risk mitigation, and liquidity needs. As a **Senior Regional Specialist Manager** you will coach ... and support the client base they support. We value integrity, open communication, strong market knowledge, and a passion for client service. If you want to work with… more
- Citigroup (New York, NY)
- …enhance their portfolio returns through intrinsic value securities lending, liquidity management, and collateral optimization. Citi's key strengths include ... unsurpassed global branch network, robust risk management, real-time controls, product innovation,... management, real-time controls, product innovation, dynamic reporting, and market thought leadership. The business is seeking a securities… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …Develop and maintain advanced risk analytics solutions to assess exposures in market , credit, collateral, and liquidity risk management. Work closely ... limited direction with a high level of autonomy, the Vice President of RJF Risk Data & Analytics will support the technology, platforms, data and analytics of RJF… more
- City National Bank (Jersey City, NJ)
- …laws and regulations, and understanding of the principles of Operational Risk , Market Risk , Credit Risk , and Liquidity & Funding Risk . * Ability ... people * Certified Trust Compliance Professional (CTCP) Or * Certified Fiduciary & Investment Risk Specialist (CFIRS) Or * Certified Public Accountant (CPA) Or *… more
- Louisiana Department of State Civil Service (LA)
- …and regulations. Examination procedures may include analysis of capital, asset quality, earnings, liquidity , and sensitivity to market risk and may include ... Human Resources Analyst ###@ofi.la.gov or YaVonya Kelley, Human Resources Specialist ###@ofi.la.gov. Minimum Qualifications MINIMUM QUALIFICATIONS Three years of… more
- TD Bank (New York, NY)
- …Delivery, and Regional Operations + Knowledge of current and emerging competitor and market trends + Knowledge of risk management environment, standards and ... change requests to the project management team both from a timeline/cost and a risk perspective. + Execute test cases and document actual results, with a high degree… more