- Citigroup (Getzville, NY)
- …Derivatives Processing **Time Type:** Full time **Primary Location:** Getzville New York United States **Primary Location Full Time Salary Range:** $70,080.00 - ... The Securities & Derivatives Manager is an intermediate management level position responsible...settlement cycle and implements appropriate solutions to mitigate any risk or control losses + Analyze data to identify… more
- Nuveen Investments (New York, NY)
- …They are embedded in and serve as an integrated member of Nuveen's Structured Credit team that has a cycle-tested track record of managing CLOs and investing in ... Nuveen Global Fixed Income ("Nuveen GFI") is world-class asset manager that manages approximately $600 billion of investment strategies...by a long heritage of successful performance outcomes and risk control for our clients. Nuveen GFI is seeking… 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
- TD Bank (Fort Lauderdale, FL)
- **Work Location:** Fort Lauderdale, Florida, United States of America **Hours:** 40 **Pay Details:** $141,960 - $213,200 USD TD is committed to providing fair ... of corporate lending solutions along with acceptable underwriting and credit risk knowledge. Our most successful RMs...over 27 million households and businesses in Canada, the United States and around the world. More… more
- Navient (San Francisco, CA)
- …together! **The Senior Quantitative Risk Analyst position will report to Senior Risk Analytics Manager .** **As the Senior Quantitative Risk Analyst, you ... the Board, and rating agencies. + Validate and challenge credit and fraud risk models to ensure...**Where:** + This role will be based in the US . \#LI-KB1 A little about our pay philosophy: We… more
- Neuberger Berman (Chicago, IL)
- **Position Overview:** The Private Residential Credit Strategies group is seeking a portfolio analyst to support its long-standing and growing multi-billion-dollar ... large sets of data and aggregate performance attribution, trading analysis and risk measurement + Collaborate with senior analysts to develop financial and… more
- Santander US (New York, NY)
- Commercial Banking Relationship Manager Country: United States of America **Your Journey Starts Here:** Santander is a global leader and innovator in the ... Benefits:** **Santander Benefits - 2025 Santander OnGoing/NH eGuide (foleon.com) (https://comms.santander. us /r/c-1x-asoDvZMQUmQ9qBf0gNi6cS-sCOOUmrXQKufnl-c92ox6n4.htm)** ** Risk Culture:** We embrace a strong… more
- Army Installation Management Command (Fort Sam Houston, TX)
- …will be accepted. Foreign education must be evaluated for equivalency in the United States . For more information, please click here. Additional Information A ... knowledge of insurance theory and principles, commercial coverages, and the Risk Management Program (RIMP) programs, including special coverages. Reviews notices of… more
- New York State Civil Service (Albany, NY)
- …and Counterparty Managero Market, Liquidity and Asset Liability Management Risk Manager * Project Management Institute: Portfolio Management ... * Reviewing traded products, related derivative and cash securities pricing techniques, Value-at- Risk , and/or counterparty credit risk modeling including… more
- TD Bank (Charlotte, NC)
- **Work Location:** Mount Laurel, New Jersey, United States of America **Hours:** 40 **Pay Details:** $86,840 - $139,360 USD TD is committed to providing fair and ... new industry standards. This position is on the Program Risk Management & Reporting Team within the US...over 27 million households and businesses in Canada, the United States and around the world. More… more