• Business Insights Analyst II (US) - Decision…

    TD Bank (Wilmington, DE)
    …As part of US Finance - Decision Science team, this analyst supports Credit Cards and Deposit business and provides in-depth data-driven financial analysis and ... requirements and facilitates project execution to develop insights + Utilizes quantitative and qualitative methodologies to interpret and present data effectively… more
    TD Bank (05/16/25)
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  • Group Portfolio Manager - Commercial Banking…

    CIBC (Miami, FL)
    …Bankers to ensure risk ratings are accurate. + Serve as a liaison with Credit Risk Management. + Provide guidance of the portfolio to oversee the deal ... strategic goals + Understanding and following the qualitative and quantitative components of our Risk Appetite Statements...with high level of competency + Ability to identify risk within credit requests + Proficient in… more
    CIBC (05/22/25)
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  • Credit Portfolio Officer

    Citigroup (Getzville, NY)
    …monitoring credit quality, setting risk limits, and making recommendations for risk mitigation; and Developing credit risk profiles based on analysis ... matter experts and direct project support resources to ensure efficient resolution of risk valuation inquiries. Develop credit profiles for affiliates based on… more
    Citigroup (04/16/25)
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  • Director, Credit Card Account Management…

    SMBC (Sacramento, CA)
    …compelling product recommendations based on customer needs, competitive environment, sound credit risk management principles, customer experience, and cost ... credit cards as an acquisition strategy for the bank . The Credit Card Product Manager will...others **POSITION SPECIFICATIONS:** + Bachelor's degree or equivalent in quantitative fields + 10+ years of relevant experience, specifically… more
    SMBC (03/25/25)
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  • Investment & Corporate Banking | Infrastructure…

    Mizuho Corporate Bank (New York, NY)
    …relevant work experience + 7+ years' experience in Project Finance and 5+ years' credit experience in a commercial bank + Existing client relationships with top ... Markets (DCM & ECM), Financial Sponsors, Rates / Derivatives, Risk , etc. + Mentor, develop and train Analysts and...staff and deal team accordingly + Manage preparation of credit applications for all new transactions, manage the … more
    Mizuho Corporate Bank (05/21/25)
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  • Senior Manager, Structural Market Risk

    BMO Financial Group (San Francisco, CA)
    Supports the research and development of quantitative risk modeling methodologies and related strategies in support of managing structural market risks arising ... in the quantitative development and periodic review of structural market risk non-model assumptions that drive valuation and earnings estimates + Participate in… more
    BMO Financial Group (05/02/25)
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  • Financial Model Developer

    Mizuho Corporate Bank (New York, NY)
    …and trading gains. + Identify and quantify risks associated with revenue generation, including market risk , credit risk , operational risk , and liquidity ... Validation; and + General tasks associated with managing the bank 's capital position. You will assume a key role...and implement robust PPNR models, including revenue forecasting and risk assessment for banking and trading operations. + Analyze… more
    Mizuho Corporate Bank (04/24/25)
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  • Finance & Business Management - Stress Testing…

    JPMorgan Chase (Brooklyn, NY)
    …and commitments portfolio. This role involves close collaboration with Wholesale Credit Risk Controllers, Special Credits, Accounting Policy, Central Planning ... strategic thinking and collaboration with various teams within the bank . As a Vice President within the Credit...CIB. **Job Responsibilities:** + Validate model projections, focusing on Credit Costs, Risk Weighted Assets, and Fair… more
    JPMorgan Chase (05/23/25)
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  • Sovereign Credit Analyst - Vice President

    Citigroup (Washington, DC)
    …Citi's Chief Country Officers and Banking Heads, Global/Local Markets Treasury, and credit underwriting teams, to ensure that country/sovereign risk views are ... establish early warning indicators with relevant stakeholders as appropriate + Assign internal risk ratings for sovereign credit and cross-border risk with… more
    Citigroup (05/22/25)
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  • Equipment Finance Asset Manager

    First Horizon Bank (Birmingham, AL)
    …annual analysis of residual values compared to market for portfolio management risk purposes. + Remarket repossessed assets, in coordination with Special Assets, and ... to enhance valuation and remarketing efforts. + Liaise with Credit and FHEF RMs to support, advise, expedite and...meet new business volume and profitability goals while mitigating risk through, among other things, setting residuals and developing… more
    First Horizon Bank (04/09/25)
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