• AVP, Enterprise Risk - Historical…

    Mizuho Corporate Bank (New York, NY)
    …of Risk Appetite and Capital Analysis and focuses on managing the historical market data used in calculating Value at Risk (VaR), Stressed VaR (SVaR), and ... Summary: MUSO Enterprise Risk is looking for a detail-oriented and motivated...motivated Assistant Vice President (AVP) to join the Historical Market Data (HMD) team. This role reports into the… more
    Mizuho Corporate Bank (09/25/25)
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  • Sales Executive - Risk & Valuations…

    S&P Global (New York, NY)
    …and solution selling approaches + Strong business acumen with understanding of credit risk , market risk , regulatory compliance, or analytics workflows + ... and workflow solutions that help customers stay ahead of competition, pinpoint risk exposures, and spot opportunities in unpredictable market environments.… more
    S&P Global (12/12/25)
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  • Senior Liquidity Risk Oversight Analyst

    M&T Bank (Buffalo, NY)
    …a lead role in conducting effective challenge of Treasury activities relating to interest rate risk , market risk or liquidity risk , the balance sheet ... to conduct effective challenge of Treasury risk pillars (interest rate risk /liquidity risk / market risk ) through annual process assessments (PA) and… more
    M&T Bank (12/06/25)
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  • Operational Risk Manager

    Marex (New York, NY)
    …following teams: Operation Risk , Change Risk & Assurance, Governance, Privacy, Credit Risk , Market Risk , and Clearing Risk . Responsibilities: + ... Marex is a global financial services platform, providing essential liquidity, market access and infrastructure services to clients in the energy, commodities… more
    Marex (12/09/25)
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  • Credit Products Specialized Industries Associate…

    Regions Bank (Atlanta, GA)
    …exposure. The individual will work directly with teammates in Credit Products, Credit Risk , Market Risk , Client Coverage, Capital Markets, Derivatives ... and renewed credit products including determination of the appropriate risk rating as well as risk factors...ranges are job specific and are provided as a point-of- market reference for compensation decisions. Other factors which directly… more
    Regions Bank (11/27/25)
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  • Senior Director - Treasury Risk , Model…

    M&T Bank (Buffalo, NY)
    … and other Finance processes. + Oversee IRM activities for Treasury, including interest rate risk , market risk , and liquidity risk . + Represent IRM ... leading the oversight and independent review of the Bank's risk landscape across key domains: Treasury operations, Finance (including...etc). M&T Bank is committed to fair, competitive, and market -informed pay for our employees. The pay range for… more
    M&T Bank (12/06/25)
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  • Risk Management - United States - 2026…

    JPMorgan Chase (Plano, TX)
    …+ Exceptional interpersonal, verbal and written communication skills + Preferred experience in credit risk , market risk , model risk , modeling, analytics, ... refer to our ReEntry Overview page for further information regarding the Program. ** Risk Management at JPMorganChase** The Risk Management organization provides … more
    JPMorgan Chase (11/28/25)
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  • M2, Fraud and Risk

    Intuit (Mountain View, CA)
    …of how Machine Learning (ML) and Generative AI (GenAI) techniques can be applied to credit risk , market risk , operational risk , and fraud detection. + ... strategic leader to manage and develop a team of Risk Analysts. This role will be crucial in supporting...consumer lending initiatives, while navigating the complexities of Fintech Risk , alongside our core tax preparation business. If you… more
    Intuit (12/10/25)
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  • Senior Manager, Finance Risk Management

    Charles Schwab (Westlake, TX)
    …standards + Work with Finance partners to review data controls that support liquidity risk , market risk , and capital stress testing models and reports ... value your contributions and encourage your development. The Finance Risk Management (FRM) function is an in-business risk... Risk Management (FRM) function is an in-business risk function within Finance, which designs and implements a… more
    Charles Schwab (12/05/25)
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  • Model Validation Director - Treasury & Markets…

    US Bank (Minneapolis, MN)
    …wide range of models including treasury, liquidity, PPNR, mortgage servicing rights, counterparty credit risk and market risk models. + Assesses model ... datasets + Strong background and practical experience developing and/or validating market risk , counterparty credit risk , and derivatives pricing models +… more
    US Bank (11/11/25)
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