- PNC (Charlotte, NC)
- …Financial Analysis, Model Development, Operational Risks, Quantitative Models, Risk Appetite **Competencies** Bank Quantitative Analysis, Consulting, ... to the company's success. As a Capital and Transversal Risk Team Lead within PNC's Market Risk ...This role requires a solid grasp of capital, market, credit , and liquidity frameworks; direct experience in transaction oversight… more
- Columbia Bank (South Jordan, UT)
- …Includes: (1) quantitative components within the underwriting narrative documenting the credit analysis; (2) accurate use of risk rating scoring models (aka ... effectiveness to mitigate risks, appropriate to prevailing competitive market environment and Bank risk tolerances. + Partners with CSMs and Relationship… more
- Citizens (Westwood, MA)
- … Analytics team. The candidate will help ensure a comprehensive and compliant Credit Risk framework is effectively implemented, maintained, and communicated to ... wide range of internal stakeholders, including business line leadership, first- and second-line credit risk management, credit assurance functions, as well… more
- Columbia Bank (Bend, OR)
- …Includes: (1) quantitative components within the underwriting narrative documenting the credit analysis; (2) accurate use of risk rating scoring models (aka ... Dual Risk Rating), both quantitative and qualitative rating elements, to ensure customers and...class(es) acquired through an accredited university or college or bank credit training.(Required) + 2-4years ofcommercial … more
- Columbia Bank (Modesto, CA)
- …effectiveness to mitigate risks, appropriate to prevailing competitive market environment and Bank risk tolerances. + Partners with team members in customer ... and Commercial Relationship Managers to accurately present findings, including businessrationaleand risk mitigations, in order to obtain credit approval and… more
- Wellington (Boston, MA)
- …with and be supported by other members of the Fixed Income team including credit research analysts, risk managers, traders, product managers, and our CLO ... management team. **QUALIFICATIONS** The successful candidate will possess strong credit and quantitative portfolio management skills. The Portfolio Manager will… more
- Columbia Bank (South Jordan, UT)
- …Together for business. Together for better. **About the Role:** Responsible for credit / risk monitoring; CR workflow management & prioritization; and engagement ... and existing commercial business relationships. CSM is a second, primarytouch-pointbetween Bank and Client. Responsible for identifying additional loan, deposit, and… more
- Wells Fargo (New York, NY)
- …customers and company. They are accountable for execution of all applicable risk programs ( Credit , Market, Financial Crimes, Operational, Regulatory Compliance), ... **About this role:** **Corporate & Investment Bank (CIB)** delivers a comprehensive suite of banking,...Act as key participant in developing, implementing, and monitoring risk based programs to recommend decisions to buy or… more
- Federal Reserve Bank (Washington, DC)
- …to: monetary policy implementation; the tools of monetary policy; money, reserve, and bank credit aggregates; analysis of financial institutions and markets; and ... Analysts work under regular guidance to design and conduct in-depth analyses on quantitative and qualitative data. Serve as the primary contributor and may lead… more
- Citigroup (San Antonio, TX)
- …executes the fraud analytics and strategies supporting Citi's North American and global credit card and retail bank businesses. This includes leveraging data to ... and advanced analytics to derive patterns, trends and insights, and perform risk /reward trade-off analysis. + Ownership and management of fraud rules, scores, and… more