- TD Bank (NY)
- …specific details for this role. **Job Description:** **Preferred Qualifications:** Focus on Non-Trading Market Risk (Interest Rate Risk on Banking Book or ... Treasury/Balance Sheet Risk Management). A non-trading market risk management position with oversight of...Management and/or the Board + Drives and builds enterprise Risk Management reporting and Risk … more
- BMO Financial Group (Chicago, IL)
- …arising from business/group portfolios and products. Develops and implements models to ensure market risk in banking products are properly measured and support ... on various committees and task forces. + Provides structural market risk advice on funds transfer pricing...+ Monitors and tracks changes to position and component risk metrics over reporting periods; addresses and… more
- ExxonMobil (Spring, TX)
- …identifying, measuring, and reporting trading gross margin, exposures, and the market risk of the portfolio of transactions that are executed and ... **What role you will play in our team** The Market Risk Analyst position is responsible for...system of record + Further develop and build out Risk reporting and ad-hoc analysis … more
- ExxonMobil (Spring, TX)
- …identifying, measuring, and reporting trading gross margin, exposures, and the market risk of the portfolio of transactions that are executed and ... we do in Houston here . **Job Description:** The Market Risk Analyst position is responsible for...system of record. * Further develop and build out Risk reporting and ad-hoc analysis … more
- JPMorgan Chase (New York, NY)
- …controlling financial risks related to market price movements. As part of an independent risk group reporting to the firm's Chief Risk Officer (CRO), you ... **Description** Join our dynamic Corporate & Investment Bank (CIB) Market Risk Management team, where you will...analysis and stress testing, conduct ad-hoc and regular risk analysis , and communicate findings. + Support… more
- SMBC (New York, NY)
- …benefits to its employees. **Role Overview** The Vice President (VP) in the Americas Market Risk Management Governance and Coordination Team will serve as a key ... member of the team with responsibility for market risk governance and issue management across...initiatives. - Drive continuous improvement of governance processes, templates, risk reporting and cross-entity and cross-regional coordination… more
- SMBC (New York, NY)
- …benefits to its employees. **Role Description** The Associate (ASC) in the Americas Market Risk Management Governance and Coordination Team across Combined US ... role will focus heavily on issue management, governance coordination, reporting and execution of key regulatory and risk...Front Office to maintain strong governance standards and support market risk issue management process for the… more
- SMBC (New York, NY)
- …**Role Description** The Vice President (VP) will be responsible for leading and developing CCAR market risk RWA models within the bank's Risk Modelling COE ... be based on their individual qualifications, experiences, and an analysis of the current compensation paid in their geography...The ideal candidate should have a strong understanding of market risk models, and a solid grasp… more
- Santander US (New York, NY)
- …to perform periodic analysis with critical reasoning for high management reporting . + Strong market risk management principles, methodologies and ... USA Associate, Market Risk (108RI1) Country: United States...liquidity events. + Assists with the validation, reconciliation and analysis of data, ensuring its accuracy, validating and implementing… more
- PNC (Pittsburgh, PA)
- …Risks, Quantitative Models, Risk Appetite **Competencies** Bank Quantitative Analysis , Consulting, Data Gathering and Reporting , Effective Communications, ... The position reports to the Senior Validation Manager for Market Risk and Counterparty Risk ...data quality and integrity. Reviews reports and associated quantitative analysis . Validates existing models and assesses model risks. +… more