- Amazon (New York, NY)
- …banking partners and external investment managers to identify opportunities to increase risk adjusted returns while maintaining liquidity . * Enhance analytics to ... Description Amazon seeks a Portfolio Manager to join its investments team, which oversees...compliance with established guidelines * Support the management of risk across our investment portfolios * Oversee the performance… more
- City National Bank (Los Angeles, CA)
- *SYNDICATIONS MANAGER * WHAT IS THE OPPORTUNITY? On sell-side loan syndications team primarily responsible for structuring and executing leveraged finance, middle ... market corporate, commercial, real estate and franchise transactions.The Syndications...prospect transactions prior to launch to accurately assess syndication risk for credit. * Prepare and present syndications materials… more
- Huntington National Bank (Charlotte, NC)
- …segment, or risk experience + 3+ years of Treasury, including Capital or Liquidity or Market Risk Preferred Qualifications: + Intermediate level Adobe ... Internal Audit Department is searching for an Audit Project Manager with a passion for identifying and mitigating business... with a passion for identifying and mitigating business risk . Serving as an advisor to your business segment,… more
- BMO Financial Group (San Ramon, CA)
- …of commercial real estate (CRE) underwriting principles, including asset valuation, market risk assessment, analysis of investment property cash flows ... solutions for commercial real estate customers across the US The Portfolio Manager is responsible for preparing well-reasoned credit proposals in accordance with… more
- Palo Alto Networks (Santa Clara, CA)
- …foreign exchange risk tolerance levels based on historical and anticipated market volatility and potential impact on the Company's key KPIs. + Establish ... hardworking individuals to join our team. We are currently seeking a Treasury Manager , Capital Markets to support the ongoing expansion of our global treasury… more
- Aflac (New York, NY)
- VP, Investment Compliance Manager The Company: Aflac Asset Mgt. LLC The Location: New York City, NY, US, 10005 The Division: Global Investment Job Id: 8034 About Our ... focus on preservation of capital, subject to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management… more
- J&J Family of Companies (Raritan, NJ)
- …Bank & Cash management, Transaction manager , In-house Banking (IHB), Risk analyzers, Liquidity planner, Hedge management and accounting, SWIFT integration, ... We are seeking the best talent for an IT Manager - Treasury Apps, Plt & Reliability to be...J&J business requirements for cash management, payment factory, financial risk management, and other treasury functions. + System Integration… more
- BlackRock (San Francisco, CA)
- …increase participation or strengthen the ETF ecosystem. **Your responsibilities** + Be a risk manager , ensuring our ETFs and their shareholders are protected + ... of our products. In addition, we work alongside ETF market participants, such as liquidity providers, exchanges...ETF trading, spanning all asset classes. Protecting the primary market through risk management is a core… more
- CIBC (Minneapolis, MN)
- …+ **You can demonstrate an understanding of financial risks (ie, credit, market and/or liquidity ) and/or non-financial risks (ie, operational, compliance, ... visit CIBC.com (https://www.cibc.com/en/about-cibc.html) **What you'll be doing** The Debt Products Manager (DPM) primary purpose is to ensure objectives related to… more
- Columbia Bank (Walnut Creek, CA)
- CRE Relationship Manager Sr. Commercial Banking Walnut Creek, California **Description** **About Us:** At Columbia, we create a great place to work by offering a ... Independently identify opportunities for existing clients and prospects with their market to provide CRE financing solutions including construction, bridge, and… more