• Head of Cash Management Product

    SMBC (New York, NY)
    …around product features and customer value proposition. Interface with legal, compliance, risk management and other internal control and operations leadership ... concentration risk limits, and policies established within the enterprise risk management framework. D&I Commitment Responsible for fostering a culture… more
    SMBC (08/13/25)
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  • Lead Director, Asset Management

    CVS Health (Hartford, CT)
    …encompass, but are not limited to, (1) asset performance monitoring, (2) post-close risk management , (3) portfolio reporting and forecasting, and (4) new ... issues to mitigate all risks for each asset. Post-Close Risk Management : Commercial Mortgages & JV Equity:...modifications/extensions as needed. + Assist in preparing a Hold/Sale analysis for all JVs to determine optimal timing for… more
    CVS Health (09/10/25)
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  • Assoc, Portfolio Management (Asset Based…

    KeyBank (Cleveland, OH)
    risk , and ensuring a favorable experience for the client. + Effective Risk Management including Loan Documentation (experienced) ◦ Able to effectively ... Associate, Portfolio Management is responsible for ongoing credit monitoring and risk rating for a portfolio of corporate clients with a complexity profile… more
    KeyBank (09/09/25)
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  • UH/DAD (Procurement Lead Specialist)…

    City of New York (New York, NY)
    …obsolete inventory, and ensure efficient supply chain operations. - Compliance and Risk Management : Ensuring procurement activities comply with relevant laws, ... Bachelor's degree and a minimum of four years of experience in budgetary planning/ management , financial analysis , public policy analysis or a related… more
    City of New York (09/10/25)
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  • BP&A Lead Analyst, Portfolio Management

    Citigroup (Charlotte, NC)
    …IT to ensure the delivery of accurate, high-quality loan-level data, critical for risk analysis and strategic decision-making. + Collaborate closely with all ... management to focus on key factors driving the risk and return of the portfolio and future new...+ Generate the daily mortgage rate sheet with the market rates and pricing change request, analyze the factors… more
    Citigroup (08/09/25)
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  • Sr Director Offering Management

    Honeywell (Atlanta, GA)
    …offerings meet the evolving needs of our customers and remain competitive in the market . Market Analysis and Opportunity Identification: Conduct market ... to identify areas for improvement and drive continuous optimization. Risk Management and Compliance: Ensure that all...+ Experience in a global organization + Experience in market research and analysis + Proven expertise… more
    Honeywell (07/01/25)
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  • Senior Talent & Performance Management

    Wells Fargo (Minneapolis, MN)
    …cohesive, end-to-end performance management program - focused on mitigating bias and risk , while empowering employees to deliver their best work now and in the ... management programs in an enterprise environment + Strong change management skills, technology proficiency, systems analysis /thinking, technical mindset, and… more
    Wells Fargo (09/10/25)
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  • Liability Management Associate

    Santander US (New York, NY)
    …at all levels are expected to take a proactive and responsible approach toward risk management . **EEO Statement:** At Santander, we value and respect differences ... possibilities **We Want to Talk to You!** **About the Team** Santander's Liability Management / Debt Capital Market Solutions team advises corporate, sponsor,… more
    Santander US (08/28/25)
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  • Asset Management - Fixed Income Portfolio…

    JPMorgan Chase (Columbus, OH)
    …+ Provide analysis of portfolio positioning, sector allocations and key risk metrics + Determine account & portfolio suitability of securities for participation ... qualifications, capabilities and skills** + Idea generation and implementation in risk budgeting, analysis , portfolio sector allocations and trading skills… more
    JPMorgan Chase (07/18/25)
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  • Credit Analyst II - Leveraged Finance Portfolio…

    Fifth Third Bank, NA (Charlotte, NC)
    …the Portfolio Managers. The Credit Analyst II is knowledgeable on financial and risk analysis and demonstrates proficiency in financial modeling. The Credit ... Accounting) + 2+ years of Commercial Banking experience. + Sound Financial and risk analysis understanding, including the ability to develop financial models +… more
    Fifth Third Bank, NA (08/30/25)
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