- Capital One (Mclean, VA)
- …the validation of CECL, CCAR stress testing models and Interest Rate and Liquidity Risk Management models. Validations cover all aspects of model development and ... Manager, Quantitative Analysis - Model Risk Office At Capital One data is at...everything we do. As a startup, we disrupted the credit card industry by individually personalizing every credit… more
- Columbia Bank (Lake Oswego, OR)
- …for business. Together for better. **About the Role:** Underwrites new and renewal Middle Market credit requests comprised of working capital lines of credit ... ("CSMs") and Relationship Managers to accurately present findings, including business rationale and risk mitigations, in order to obtain credit approval and meet… more
- Comerica (Farmington Hills, MI)
- …Officer II role will be responsible for ongoing assessment of the model risk management framework with respect to regulatory guidelines and expectations. ... with models such as Fraud models, marketing models, stress testing models, market risk models, AI/ML models etc. is preferred. Qualifications Position… more
- Scotiabank (Dallas, TX)
- …and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the ... our clients an important bridge to this key global market for trade and investment flows across the Americas...maturity, credibility and sound judgment in dealing with senior management across business lines, risk management… more
- SMBC (New York, NY)
- …Company / Broker Dealers including Reg YY Liquidity requirements * Familiarity with Market Risk a plus * Understanding of audit techniques, internal controls, ... diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group has more...the current compensation paid in their geography and the market for similar roles at the time of hire.… more
- Fifth Third Bank, NA (Kansas City, MO)
- …needs are being met + Lead and coordinate all client facing activities, including credit support, treasury management , and capital markets + Utilize the Bank's ... with Portfolio Managers and Credit Officers on credit requests and adhere to established Portfolio Management...performance, condition, and industry trends to determine that any credit exposure is at an acceptable risk ,… more
- BMO Financial Group (San Francisco, CA)
- …of proficiency: + Product Knowledge + Regulatory Compliance + Structuring Deals + Portfolio Management + Credit Risk Assessment + Customer Service + ... requirements, internal controls, and compliance policies in all aspects of relationship management , mitigating risk and maintaining service standards. + Operates… more
- BMO Financial Group (City Of Industry, CA)
- …loan structure, etc. + Grants loan requests within specified limits, using understanding of credit scoring and risk management concepts. + Monitors covenants ... Manager to join our team in the Emerging Middle Market , Pac Rim Division. The main responsibility of this...+ Prepares summary, present facts and offer opinions concerning credit worthiness. + Minimizes BMO's risk exposure… more
- Truist (Birmingham, AL)
- …managing problems/delinquent credit relationships. Ensure adequate data integrity and risk management . Interpret and ensure communication of and adherence to ... relationships and improve market share of business loans and non- credit services, including deposits. Execute Integrated Relationship Management (IRM) with… more
- S&P Global (New York, NY)
- …Workflow to enable market participants to assess, manage, monetize, and monitor credit and vendor risk . The Product Lines include the RiskGauge Desktop, ... Climate Credit Analytics, Credit Risk Pricing,...and execution of the market strategy and Go-To- Market plans to drive Risk Solutions business… more