• Supervisor, BSA/AML Analysis & Risk

    Navy Federal Credit Union (Vienna, VA)
    Overview To supervise the day to day BSA/AML risk assessment operations, compliance analyses and projects across the enterprise in compliance with Navy Federal's ... BSA/AML Compliance Program. To assist the Manager , BSA/AML Compliance with the development of an enterprise...+ Supervises the operations of the BSA/AML Analysis and Risk Section to ensure efficiencies/effectiveness. + Supervises the daily… more
    Navy Federal Credit Union (12/10/25)
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  • Senior Portfolio Analytics & Strategy…

    PNC (Pittsburgh, PA)
    …control functions as appropriate. Interacts with regulators, internal audit, and management concerning credit portfolio analyses and credit risk appetite. + ... of that vision. As a Senior Portfolio & Strategy Manager supporting Credit Card Marketing Strategy, you...to identify internal and external trends and issues affecting credit risk and return and to determine… more
    PNC (09/24/25)
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  • VP, Portfolio Fraud Manager

    Synchrony (Charlotte, NC)
    strategies for all Lowe's products + Be a leader in driving enhanced strategies , using champion/challenger leanings to manage fraud risk + Responsible for ... degree and 7+ years in a consumer and/or commercial Fraud/ Credit / Risk , Finance, or Analytics role or...Bachelor's degree, 11+ years of experience building analytically derived strategies in Fraud, Marketing, Risk or Collections… more
    Synchrony (12/09/25)
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  • Model Risk Business Process QA Reviewer…

    Fannie Mae (Washington, DC)
    …deadlines. * Expertise in quantitative analytics applied to one or more areas within credit , interest rate, counterparty credit risk , and/or fixed income ... mortgage products and securities, borrower behavior, investment and hedging strategies , residential property valuation, macroeconomic models, including housing prices… more
    Fannie Mae (11/28/25)
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  • Model Risk Reporting Data Analyst Lead

    Fannie Mae (Reston, VA)
    …preferred * Expertise in quantitative analytics applied to one or more areas within credit , interest rate, counterparty credit risk , and/or fixed income ... mortgage products and securities, borrower behavior, investment and hedging strategies , residential property valuation, macroeconomic models, including housing prices… more
    Fannie Mae (11/05/25)
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  • Global Markets Risk Strategy Analyst

    BMO Financial Group (New York, NY)
    …Markets. + Conduct quantitative risk analysis (eg, VaR, stress testing, market risk , counterparty credit risk , RWA). + Define and frame analytical ... trading businesses by analyzing risk and developing tools that enhance risk management, inform trading strategies , and improve capital allocation at BMO… more
    BMO Financial Group (12/10/25)
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  • Managing Director - Senior Relationship…

    PNC (San Francisco, CA)
    …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk for the most complex credit requests by utilizing ... in this position. **Preferred Skills** Client Prospecting, Client Relationship Building, Credit Risk Analysis, Customer Engagement, Financial Analysis, Financial… more
    PNC (10/21/25)
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  • Bank Risk Investment Officer

    PNC (Charlotte, NC)
    …you will be based in a location within the PNC footprint. We are seeking a risk manager to join our team, reporting directly to the Head of Capital Markets ... to contribute to the company's success. As a Bank Risk Investment Officer within PNC's Market Risk ...standards. + Creates Line of Business vision and establishes strategies needed to develop new model frameworks. + Oversees… more
    PNC (12/13/25)
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  • Senior IT Risk Analyst

    Citizens (Iselin, NJ)
    …regulations. + Continuous Improvement: Drive the implementation of continuous monitoring strategies , including key risk indicators (KRIs) and key control ... for growth and development. As an Enterprise Technology & Security (ETS) Sr IT Risk Analyst on the Monitoring and Testing team, you will play a pivotal role… more
    Citizens (11/15/25)
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  • Portfolio Analytics & Strategy Manager

    PNC (NJ)
    …and business are preferred * Preferred experience in analytics, portfolio management and strategies , credit risk analysis, loss forecast, economic capitals, ... control functions as appropriate. Interacts with regulators, internal audit, and management concerning credit portfolio analyses and credit risk appetite. +… more
    PNC (12/11/25)
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