- Wells Fargo (Charlotte, NC)
- …The Portfolio Manager will partner with Relationship Managers, Industry Coverage and Risk Management to oversee execution of credit related functions and portfolio ... analysis and projection modeling to ensure accurate and timely monitoring, risk ratings, covenant compliance, watchlist updates, recognition of potential problems… more
- MUFG (Irving, TX)
- …lead various activities and tasks that are required for effective management of compliance risk within the bank. As part of this role, you will engage in managing ... processes within the group including regulatory data management, compliance risk committee, regulatory change management, technology, tools, and other activities… more
- SMBC (New York, NY)
- …Description** SMBC is seeking an experienced professional to join the Credit Portfolio Risk team. This role will support the firm's credit stress testing development ... and climate risk stress testing development, including ongoing BAU stress testing,...testing development, including ongoing BAU stress testing, and internal risk appetite processes. The role requires deep expertise in… more
- Citigroup (Wilmington, DE)
- The Risk Analytics, Modeling and Validation role involves the development, enhancement, and validation of methods for measuring and analyzing all types of risks, ... market, credit, and operational. In areas related to credit risk , individuals in this role develop, enhance, and validate...develop, enhance, and validate models for measuring obligor credit risk , or early warning tools that monitor the credit… more
- Citigroup (Queens, NY)
- …in Governance Reporting & Analysis are responsible for developing standard risk and controls reporting to ensure sound, reliable, consistent information exists ... Citi's Policies, Standards and Procedures enabling proactive management of the risk and control environment. **Responsibilities** : + Support development of… more
- Wells Fargo (New York, NY)
- …This role will focus on providing quantitative research on pricing and risk strategies within a low-latency framework as well as performing extensive customer ... in electronic trading platforms. + Research, develop, and optimize pricing and risk algorithms within a low-latency environment. + Understand, maintain, and enhance… more
- Citigroup (Getzville, NY)
- The goal of the Markets Operations Risk and Control function is to provide independent oversight, challenge and governance to the Markets Operations organization to ... enhance the proactive identification and management of risk , and to ensure that the appropriate controls are...effectively. As a senior member of the Markets Operations Risk and Control team, the position will require the… more
- Citigroup (Tampa, FL)
- …Individuals in this role may cover a broad range of in-business/function risk and control responsibilities rather than focusing on one specific role. ... drive controls enhancements focused on increasing efficiency and reducing risk . + Help assist in the execution of Enterprise.... + Help assist in the execution of Enterprise Risk Management Framework and adherence with Risk … more
- MUFG (Los Angeles, CA)
- …for a Credit Examiner to provide a comprehensive assessment of enterprise-wide risk management practices. You will evaluate, monitor, and report on the quality ... of risk assets and effectiveness of the Bank's processes to...activities. This role is assigned complex portfolios and higher risk issues. **Major Responsibilities:** + Monitor risk … more
- JPMorgan Chase (New York, NY)
- …intra-affiliate (IAO) services, and includes Supplier Assurance Services (SAS) Governance and Risk Design. The program also builds awareness across the firm, ensures ... collecting, analyzing, and disseminating intelligence on supply chain risks to support risk management and decision-making across the firm. You will monitor a… more