- MUFG (New York, NY)
- …investor clients. + Understand valuations across capital structures and use DCF models, covenant analysis and relative value to drive credit views. + Work with ... our recruitment team will provide more details. **Responsibilities:** + Provide relevant credit updates and insight to trading, sales and investor clients on… more
- Citigroup (Jacksonville, FL)
- …events within the Business and within ORM as appropriate with relevant context and risk assessment. ** Risk Identification, Analysis & Assessment** + The ... Risk Identification and Key Indicator monitoring process, Scenario Analysis , Manager's Control Assessment Challenge, Internal and External Loss Analysis… more
- Huntington National Bank (Columbus, OH)
- …operations by developing quantitative and predictive models needed to analyze risk management activities, including credit , legal, strategic, and reputational ... Description Job Title: Quantitative Risk Modeling Analyst Sr. Organization Name: The Huntington...(2) years of model development experience, including current expected credit loss (CECL), comprehensive capital analysis and… more
- TD Bank (New York, NY)
- …for existing and new regulations + Manages or oversees a number of major risk area requirements such as Credit , Operational, Regulatory and/or Market Risk ... United States of America **Hours:** 40 **Line of Business:** Risk Management **Pay Detail:** $175,000 - $215,000 USD TD...(EWST), Macro Stress Test (MST) in addition to ad-hoc analysis and commentary to assess emerging risks. + Facilitate… more
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …team in the independent validation of a variety of RJ models, including market risk , credit risk , asset management, capital markets and BSA/AML models. ... Financial and 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
- Citigroup (Irving, TX)
- …+ Deep understanding of the banking domain, especially risk management and credit policies. + Improved data analysis and statistical skills, with a focus ... the execution process is efficient and appropriately controlled. + Lead the analysis and preparation of comprehensive risk reports, identifying and quantifying… more
- New York Power Authority (White Plains, NY)
- …+ Working knowledge of various types of risk including, Market Risk , Operational Risk , Credit Risk , Liquidity Risk , Financial Instrument Risk ... or Economics + Minimum of 2 years directly relevant experience with risk analysis , integration of business processes and development/implementation of enterprise… more
- BMO Financial Group (Salt Lake City, UT)
- … analysis and calculations, assesses client creditworthiness, prepares detailed credit summaries, analyses financial performance and risk profiles of ... risk policies + Conducts financial analysis and risk assessments of clients' credit information, for an assigned portfolio, to provide insights and make… more
- BMO Financial Group (Tampa, FL)
- … analysis and calculations, assesses client creditworthiness, prepares detailed credit summaries, analyses financial performance and risk profiles of ... risk policies + Conducts financial analysis and risk assessments of clients' credit information, for an assigned portfolio, to provide insights and make… more
- Huntington National Bank (Columbus, OH)
- …Understands key Capital Markets business processes, products, and services; analyzes risk impact by pillar ( Credit , Operational, Strategic, Reputation, ... and action plans through clear documentation of issue, appropriate risk impact, root cause analysis , development of...owners, two line of defense partners, Legal, Compliance, Audit, Credit Review, Technology, Segment Risk peers, subject… more