- NatWest Markets (Stamford, CT)
- Vice President - Market Risk Closing date for applications: 26/01/2026 LocationStamford,United States Job typePermanent Contract typeFull Time \#R-00268422 Our ... United States. **Job description** NatWest Markets Securities Inc. (NWMSI) seeks a VP, Market Risk for its Stamford, CT location. Duties: Second line risk … more
- SMBC (New York, NY)
- …SMBC seeks a Vice President (VP) for the 'Product and Data Management Team - Market Risk ' in Risk Management Department Americas Division (RMDAD). The VP ... understands Market Risk management fundamentals, financial products, and their associated risks., Additionally, the VP has an expert understanding of coding… more
- SMBC (Albany, NY)
- …SMBC MANUBANK's is responsible for providing 2nd line oversight over financial risks including credit risk , market risk , liquidity risk and model risk ... of current compensation paid in their geography and the market for similar roles at time of hire. The...SMBC MANUBANK suite of models working closely with the risk modeling and model validation teams at both SMBC… more
- Fannie Mae (Washington, DC)
- …company's modeling and analytics resources to develop and monitor methodologies, models, and risk metrics to measure market risk exposures. *THE EXPERIENCE ... a related field * Experience in financial markets, portfolio management, market risk analytics, and/or advanced education demonstrating quantitative, analytical… more
- ExxonMobil (Spring, TX)
- …quantitative risk analytics libraries for use cases including trading strategies, market risk , real options valuation, and forward curve simulation. + ... risk analytics libraries for use cases including trading strategies, market risk , real options valuation, and forward curve simulation. + Conduct quantitative… more
- Eisai, Inc (Nutley, NJ)
- …teams; interact closely with banking/investment contacts to stay updated on liquidity market dynamics. Risk Management : Assist in interfacing with multiple ... your profile, we want to hear from you. The Manager of Treasury and Risk Management monitors and updates various cash flows and procedures, including domestic and… more
- SMBC (New York, NY)
- …of on the portfolios + Deep understanding of interest rates derivatives valuation and market risk , understanding of key valuation approaches and models + Mark ... the current compensation paid in their geography and the market for similar roles at the time of hire....of benefits to its employees. **Role Description** The Trading Risk & Control group in Capital Markets is established… more
- Fannie Mae (Reston, VA)
- …of Fannie Mae's business operations and policies or that of the Secondary Mortgage Market Enterprise Model Risk - Quantitative Modeling - Advisor Target Pay ... knowledge of model governance principles to support the Model Risk Management Governance team. We are currently hiring for...or Reston. *THE IMPACT YOU WILL MAKE* The *Model Risk Management Governance Advisor* role will offer you the… more
- SMBC (New York, NY)
- …Join a fast-growing derivatives team focused on helping corporate clients manage currency risk in a rapidly evolving market . The Analyst or Associate will ... the current compensation paid in their geography and the market for similar roles at the time of hire....supporting senior salespeople in marketing FX products and delivering risk management solutions, as well as participating in all… more
- Delek US Holdings (Houston, TX)
- …transparency, accuracy, and completeness of portfolio profitability, volumetric positions, and market risk . + Collaborate with Commercial Operations, Middle ... processes, organizational accountabilities, reporting, and workflows associated with managing market exposure and commodity risk . **EDUCATION AND EXPERIENCE:**… more
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