- TD Bank (New York, NY)
- …works closely with front office trading and sales to deliver on their risk management, valuation and quantitative strategy needs. Moreover, the QMA team partners ... The role requires a deep knowledge of Interest Rate Models, Prepayment and Credit /Loss models in addition to advanced C++ and Python programing skills. Moreover,… more
- Santander US (Miami, FL)
- … identification (eg NPBA, change management, etc.) Ensure all issues (Self-Identified, IA, Credit Risk Review or Regulatory) pertaining to the Business ... all exam related activities including regulatory, Internal Audit and Credit Risk Review . Review...practices. + Ability to work with limited oversight from manager . + In depth research and analysis skills for… more
- PNC (Pittsburgh, PA)
- …Risk (VaR) models, derivative pricing models, interest rate models, and counterparty credit risk measurement models, such as Potential Future Exposure (PFE), ... at PNC. The position reports to the Senior Validation Manager for Market Risk and Counterparty ...Knowledge of regulatory requirements related to market and counterparty credit risk models, including derivative pricing models,… more
- Navy Federal Credit Union (Vienna, VA)
- Overview To supervise the day to day BSA/AML risk assessment operations, compliance analyses and projects across the enterprise in compliance with Navy Federal's ... BSA/AML Compliance Program. To assist the Manager , BSA/AML Compliance with the development of an enterprise...+ Supervises the operations of the BSA/AML Analysis and Risk Section to ensure efficiencies/effectiveness. + Supervises the daily… more
- M&T Bank (Buffalo, NY)
- **Overview:** The Segment Risk Manager will have a specific focus on Cyber, Technology, Data and Transformation Risk within the Commercial Bank. This ... and internal risk committees. Provide direct assistance/support to the First Line Risk Officer + Develop and review presentation materials and risk … more
- Scotiabank (Dallas, TX)
- Manager , US Loan Review , US Audit **Requisition...+ At least 5+ years of progressive experience in credit risk review /audit, corporate, commercial or ... & Markets provides a full range of investment banking, credit and risk management products and services...to find solutions to address control weaknesses. The Audit Manager contributes to the overall success of the Audit… more
- Bank of America (Charlotte, NC)
- …entities, including the review and challenge of Board and Management Level Risk Appetite Limits for our Enterprise and material subsidiaries. In addition to our ... of the Trading Book (FRTB) and Basel 3 market risk rule implementation + Review and challenge...product knowledge a plus **Skills:** + Analytical Thinking + Credit and Risk Assessment + Critical Thinking… more
- Ventura County (Ventura, CA)
- …records. + Provides information and training to County personnel. + Assists direct manager and senior leaders within Risk Management, as required. Typical ... Workers' Compensation Risk Analyst Print (https://www.governmentjobs.com/careers/ventura/jobs/newprint/5142408) Apply Workers' Compensation Risk Analyst Salary… more
- PNC (Charlotte, NC)
- …you will be based in a location within the PNC footprint. We are seeking a risk manager to join our team, reporting directly to the Head of Capital Markets ... to contribute to the company's success. As a Bank Risk Investment Officer within PNC's Market Risk ...business decisions and policies. Oversees robust and comprehensive model review testing and quantitative analysis in accordance with all… more
- TD Bank (New York, NY)
- …AML, Privacy, IDA, CBA, SOX, Basel etc.) + Supports enterprise-wide operational risk escalation, review and approval processes, data management, policies and ... escalation of key risks to appropriate areas and/or executive review with business executive findings and action plans to...May be responsible for providing support for other major risk areas (eg Market, Credit , Reputational and/or… more