• Assistant Vice President; Quantitative Finance…

    Bank of America (Chicago, IL)
    …markets along with improvement initiatives. + Communicate the results analysis to all model stakeholders including risk management , model development, ... **RESPONSIBILITIES:** + Develop, test, document, and maintain counterparty credit risk model , including risk factor... model risk , senior management and our regulators. + Support model more
    Bank of America (08/02/25)
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  • Risk Manager

    Robert Half Finance & Accounting (Wilmington, DE)
    …on the company's risk profile, oversee compliance, assist with special projects on model risk management , and support the operational risk ... as needed. The ideal candidate for this role should have prior experience in risk management , compliance or related fields. The duties as a Risk Manager are:… more
    Robert Half Finance & Accounting (07/22/25)
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  • Quantitative Analytics Program - Capital Markets…

    Wells Fargo (Charlotte, NC)
    Model Development Center** , **Mortgage Model Development Center** or ** Model Risk Management ** -each offering a unique opportunity to shape the ... to tackle interesting and challenging real world problems. You will influence risk management strategies, interact with senior leaders, and participate in… more
    Wells Fargo (08/10/25)
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  • Rates Portfolio Management /Central Funding…

    Citigroup (New Castle, DE)
    …SME analytical support for ongoing balance sheet, regulatory and technology projects Interest Rate Risk Management + Model and calculate risk impact ... of the overall asset allocation strategy and process. The Rates Portfolio Management team within CTI has responsibility for short-term funding, legal entities' money… more
    Citigroup (08/09/25)
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  • Quantitative Expert

    M&T Bank (Buffalo, NY)
    …+ Develop, maintain, and manage robust model documentation. + Lead engagements with Model Risk Management for model validation exercises. + Serve ... partners and collaborates with colleagues in related functions, including Credit, Model Risk Management and business lines to implement and understand… more
    M&T Bank (07/12/25)
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  • Senior Quantitative Analyst

    M&T Bank (Buffalo, NY)
    …results. + Develop and maintain robust model documentation. + Support engagements with Model Risk Management for model validation exercises. + ... The position partners and collaborates with colleagues in related functions, including Credit Risk , Model Risk Management and business lines to develop,… more
    M&T Bank (07/12/25)
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  • Sr Quantitative Finance Analyst

    Bank of America (Charlotte, NC)
    …on modeldevelopment/validation + Maintains and provides oversight of model development and model risk management in respective focus areas to support ... , model development and enhancement, model tuning and optimization, model risk management , and model analysis and incident management more
    Bank of America (06/26/25)
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  • VP, Reserves Deputy

    Synchrony (St. Paul, MN)
    …fields, including **4+ years** in roles involving Process Risk Management or Model Risk Management within a Consumer Lending business, with a focus ... (eg, Economics, Mathematics, Statistics, Engineering, Accounting, Finance, Decision Sciences/Analytics, Risk Management ) or **10+ years of relevant experience**… more
    Synchrony (07/30/25)
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  • Top Internal Audit Executive -- Corporate

    Honeywell (Morris Plains, NJ)
    …with Honeywell's objectives and risk profile. . Operate a three lines of defense risk management model . The audit team functions as the third line of ... offering strategic financial guidance. Your skills in auditing, compliance, risk management , and regulatory matters will support...in a Fortune 500 company with a global operating model . . Extensive expertise in SOX compliance, SEC reporting… more
    Honeywell (06/25/25)
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  • Senior Manager, Internal Audit

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …utilizes a technically sound understanding of capital, liquidity, interest rate risk management , model risk management , stress testing, and ... capital, liquidity, and interest rate risk management practices, model risk management , and stress testing procedures used in the banking industry.… more
    Raymond James Financial, Inc. (07/15/25)
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