- LS Power Development, LLC (New York, NY)
- …States. The successful candidate will actively manage positions stemming from a portfolio of assets like solar, wind, and battery storage; optimizing and hedging ... margin value streams such as power, ancillaries, and capacity. + Formulate risk management and trading strategies. + Ensure compliance with strategic objectives and… more
- BlackRock (New York, NY)
- …management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary, and individual ... responsible for the research and development of financial models underpinning the risk management analytics produced at BlackRock. The group also contributes to the… more
- Constellation (Baltimore, MD)
- …+ Works closely with other members of the Market Fundamental, Trading, Portfolio Management, Structuring, Public Policy, Sustainability, Risk , and other teams ... variety of web sites and data bases. + Evaluate modeling results and have the ability to discuss results...market impacts and exposure to production cost and economic modeling + Computer programming skills such as Python Constellation… more
- Guidehouse (San Francisco, CA)
- …from project kickoff through implementation. + Support business capability modeling and process-to-technology mapping activities to ensure effective alignment ... work plans. + Support pursuit teams with level-of-effort estimates, solution risk identification, and stakeholder communication strategies. + Contribute to the… more
- SMBC (Jersey City, NJ)
- …incentive award. In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. **Role Description** + Integrate balance sheet ... for senior leadership and other stakeholders + Collaborate cross-functionally across Risk , Finance, and Treasury teams and maintain foundational knowledge across… more
- SMBC (Jersey City, NJ)
- …incentive award. In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. **Role Description** This Strategic Sourcing ... sourcing colleagues + Internal stakeholders + Internal Procurement Operations, Third Party Risk and Contract Management + In-house Legal, Risk and Finance… more
- Novo Nordisk (Plainsboro, NJ)
- …products (diabetes, obesity, MASH, and rare disease products). Responsible for portfolio of accounts representing multi-billion dollars, which continue to grow in ... analysis + Provides peer guidance on approach for payer modeling to other SPC Leadership Team members, and acts...collaboration with legal counsel). Develops solutions which mitigate NNI's risk while ensuring NNI can maintain market access via… more
- Truist (Charlotte, NC)
- …particular emphasis on adherence to credit policy and requirements, financial analysis/ modeling , risk evaluation, on-going portfolio maintenance activities, ... and qualifying prospects and underwriting new opportunities. Applies understanding of credit risk and current portfolio exposures to evaluate and recommend new… more
- Fannie Mae (Reston, VA)
- …the analytics systems that rely on those models to generate measures of market risk exposure for a portfolio of financial instruments. * Generate user acceptance ... test analysis results before proposed enhancements to the portfolio market risk exposure measurement process are...opportunities Enterprise Analytics and Modeling - Quantitative Modeling - Lead Associate Target Pay Range:… more
- City of Norfolk, Virginia (Norfolk, VA)
- …spectrum of City functions. From financial reporting and payroll to procurement and risk management, we work collaboratively to ensure the fiscal health of our City ... access to capital markets. The Debt Manager will oversee the City's debt portfolio , which includes financing for both core municipal operations and four enterprise… more