- HSBC (New York, NY)
- …Finance, Market Risk , Regulatory Compliance, Front Office, Markets Operations, Model Risk , Counterparty Credit Risk , Markets Surveillance, Internal Audit ... as well as the supporting functions (eg, Market Operation, Trade Surveillance, Traded Risk and Product Control). The team also covers Global Research, which provides… more
- Portland General Electric (Tualatin, OR)
- … and contractual terms, are favorable to and consistent with company guidelines for risk management . **Key Job Information** Senior Day Ahead Trader 7091 Grade 8 ... to establish new trading partnerships and opportunities. **Power and Gas Portfolio Management ** Analyzes PGE's commodity positions and makes recommendations… more
- City National Bank (Los Angeles, CA)
- …to various types of clients, including expertise in advising on hedging of currency risk and other related portfolio management issues. * Detailed ... proper execution of FX transactions, including maintaining compliance with risk policies, procedures, and limits (eg counterparty ...management and business systems teams) and CM 1LOD Risk Management groups to develop or enhance… more
- JPMorgan Chase (New York, NY)
- …team and our partners across JP Morgan to identify new infrastructure finance and risk management opportunities. + Jointly with our products partners, you will ... as relevant for large global infrastructure funds and their portfolio companies. You will be involved in the origination...bank loans, bonds, rates, FX and structured products, cash management , etc. + Risk management … more
- Neuberger Berman (New York, NY)
- …will oversee new derivative setups, ensure valuation accuracy, and collaborate with Portfolio Management teams to facilitate proper order entry for derivatives. ... This role plays a key part in daily portfolio management and post-trade execution for alternatives,...counterparty metrics, costs, and financing rates. + Assist management with system automation projects (STP), efficiency initiatives, and… more
- SMBC (New York, NY)
- …Americas + Scope of analysis and review includes, but not limited to, counterparty credit risk , deal structure, facility terms and conditions, transaction ... incentive award. In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. **Role Description** SMBC is seeking a… more
- BMO Financial Group (New York, NY)
- …across a full spectrum of integrated capabilities to deliver leading market insight, risk management , and execution services with a focus on equity derivatives ... relationships through in person interactions + Partner with bankers, portfolio managers, legal, onboarding, credit and risk ...strategies for derivatives and financing products + Understanding of counterparty risk , CVA, FVA and XVA and… more
- Amcor (IN)
- …with international treasury colleagues on global treasury projects in areas such as risk management , reporting, capital markets, and forecasting. ** Risk ... analysis, as well as administration of an intercompany loan portfolio well over $1billion and month-end closing activities. This...the Treasury Manager, this role will assist with: **Cash** ** management ** : Maintain an efficient cash pool and cash… more
- Amcor (Evansville, IN)
- …with international treasury colleagues on global treasury projects in areas such as risk management , reporting, capital markets, and forecasting. ** Risk ... Under the guidance of the Treasury Manager, this role will assist with: **Cash** ** management ** : Maintain an efficient cash pool and cash management setup in… more
- NextEra Energy (Juno Beach, FL)
- …our customers and stakeholders. Our team is skilled in market analysis, trading, risk management and delivering tailored customer solutions across North America. ... value to the portfolios. + Collaborate with Term Trading and Business Management employees to evaluate specific market conditions that would help develop trading… more