• Commercial & Investment Bank Risk

    JPMorgan Chase (New York, NY)
    …and Investment Bank trading businesses to track market events, perform portfolio analysis and provide risk advisory for multiple asset classes, including FX, ... finance, economics, equity capital markets, debt capital markets and risk analysis . You'll build your technical and...events + Preparing reports to outline recommendations to senior management + Assisting in evaluating market moves… more
    JPMorgan Chase (07/04/25)
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  • Risk Management - Credit Portfolio…

    JPMorgan Chase (Plano, TX)
    …a comprehensive risk analysis strategy to enhance the organization's risk management reporting and analytics capabilities, with a focus on generating ... health, and underlying drivers of credit risks affecting middle market companies and commercial real estate investors. * Design...field. * Minimum 5 years of experience in portfolio risk management , data analysis , insights… more
    JPMorgan Chase (08/18/25)
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  • Commercial & Investment Bank Risk

    JPMorgan Chase (New York, NY)
    …and Investment Bank trading businesses to track market events, perform portfolio analysis and provide risk advisory for multiple asset classes, including FX, ... Full-Time Analyst in the 2026 Commercial & Investment Bank Risk Management Program, you will join a...finance, economics, equity capital markets, debt capital markets, and risk analysis through interactive learning tools and… more
    JPMorgan Chase (07/03/25)
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  • Campus Graduate Summer Internship Program - 2026…

    American Express (New York, NY)
    …and reporting tools. + Supporting regulatory and internal governance requests with data-driven analysis . The _Model Risk Management Group_ is looking for ... Risk & Compliance Organization is an independent risk management function, led by the Chief...success + _Market and Liquidity Risk_ : The second-line market and liquidity risk function provides independent… more
    American Express (09/12/25)
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  • Operational Risk Analyst - Consumer…

    Regions Bank (Atlanta, GA)
    …the Operational Risk Analyst is responsible for advanced operational risk analysis (identification, measurement, mitigation, monitoring, and reporting) and ... defense on implementation, execution and monitoring of the operational risk management framework. This position may also...of defense with the evaluation and remediation of operational risk /loss events including root cause analysis and… more
    Regions Bank (08/13/25)
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  • Model Validator, Model Risk

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …in the independent validation of a variety of RJ models, including market risk , credit risk , asset management , capital markets and BSA/AML models. The ... non-financial models in the area of market risk , credit risk , asset management ,...to financial or non-financial risk fields, model risk , financial data analysis , or compliance is… more
    Raymond James Financial, Inc. (08/02/25)
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  • Treasury Associate - Liquidity Risk

    Santander US (Boston, MA)
    …the day-to-day operations in Asset-Liability Management and Liquidity Risk Management . They will be responsible for the analysis and execution of daily ... risk indicator reporting for Santander US, including real-time market and business analysis . The associate will...Risk Management . *Day-to-day execution of liquidity risk monitoring reporting including updated analysis and… more
    Santander US (09/12/25)
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  • Staff Quality Engineer, Risk

    BD (Becton, Dickinson and Company) (San Diego, CA)
    …and solutions. They will lead multi-functional teams during the design and development and post- market risk management reviews to ensure that all necessary ... Management Plan, Risk Management Report, Risk Reviews, System Hazard Analysis (SHA), Hazard and Harm Analysis (HHA), Design FMEA (dFMEA),… more
    BD (Becton, Dickinson and Company) (09/04/25)
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  • Investment Officer - Asset Allocation, Risk

    City and County of San Francisco (San Francisco, CA)
    …models used in asset allocation, risk management , liquidity management , cash flow pacing forecasts, performance analysis , stress testing, derivative ... and quantitative analysis to monitor investment performance, diversification, and overall risk management ; * Assist in developing and updating the investment… more
    City and County of San Francisco (06/25/25)
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  • Markets Quantitative Analysis - Credit…

    Citigroup (New York, NY)
    …family. **Responsibilities:** + Develop analytics libraries used for pricing and risk - management + Create, implement, and support quantitative models for ... + Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk , Audit, Finance in order to ensure appropriate… more
    Citigroup (07/18/25)
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