• Santander Bank (New York, NY)
    …disabilities to perform the essential functions. Work Experience: 5-7 years; Risk Management , Credit Risk , Fund Finance and NAV Underwriting, or Internal ... Finance / Markets / Financial Sponsors Credit Risk 2nd Line of Defense - Corporate & Investment...owner for effective 1st and 2nd line of defense Risk Management and Controls Provides oversights on… more
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  • Santander Bank (New York, NY)
    Market Risk VP Quantitative Analyst Country: United States of America Your Journey Starts Here: Santander is a global leader and innovator in the financial ... highly skilled and motivated Quantitative Analyst to join our Market Risk team. The ideal candidate will...will combine analytical rigor with programming skills to support risk management and financial modeling initiatives. Essential… more
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  • Syntricate Technologies (New York, NY)
    …of experience. Metrics Controls framework Hands on Jira Trading platform and Dashboards regulations Market risk and controls Price control credit risk Large ... Market Price Risk and Control Volcker...Volcker Rule. Working closely with the businesses, ICRM, Legal, Finance and Risk , the team is responsible… more
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  • RER Solutions, Inc. (Washington, DC)
    …the terms contained in Credit Agreements and for overall portfolio risk management Knowledge of the financial, market , credit, and technical risks inherent ... RER Solutions, Inc., is accepting resumes for a Project Finance Portfolio Management Associate to join our...for warning signs of credit deterioration Execute a portfolio risk management process that assists in identifying,… more
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  • Sumitomo Mitsui Financial Group, Inc. (New York, NY)
    …of financial services, including banking, leasing, securities, credit cards, and consumer finance . The Group has more than 130 offices and 80,000 employees worldwide ... Inc., SMBC MANUBANK, JRI America, Inc., SMBC Leasing and Finance , Inc., Banco Sumitomo Mitsui Brasileiro SA, and Sumitomo...the current compensation paid in their geography and the market for similar roles at the time of hire.… more
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  • Citigroup, Inc. (New York, NY)
    …This will be achieved through a strong partnership with Banking, Capital Markets and Risk Management . LFU Underwriters will be actively involved in Citi's credit ... Leveraged Finance Underwriting ("LFU") within Institutional Credit Management...Education: Bachelor's/University degree, MBA/MSc degree preferred Job Family Group: Risk Management Job Family: Credit Decisions Time… more
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  • JPMorgan Chase & Co. (New York, NY)
    …global businesses. As a Full-Time Analyst in the 2026 Commercial & Investment Bank Risk Management Program, you will join a collaborative and supportive team. ... mentors. In addition, you will gain knowledge of our risk management , controls, and infrastructure areas, and...York, Jersey City, Plano, Houston, Chicago, Los Angeles). The Market Risk Team works in partnership with… more
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  • RSM Global (Charlestown, MA)
    …integrations and divestitures Interpret data and propose strategies based on future risk trends, market and industry influences, Evaluate current and historical ... valuation skills including exceptional understanding of both the income and market approaches Bachelor's degree in Business, Accounting, Finance , Economics,… more
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  • BBVA (New York, NY)
    …specialized knowledge required. Deep understanding of the structural aspects of each deal, market trends, and risks. Work with risk and Portfolio Monitoring to ... tasked with working with both sponsor coverage and local/global risk teams to generate high quality opportunities that fit...execute transactions Work with the Global Head of Fund Finance and broader team to ensure consistency Assist in… more
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  • Crdit Agricole CIB (New York, NY)
    …2025-97044 Update date 21/02/2025 Job description Business type Types of Jobs - Risk Management / Control Job title Vice President - Information Technology ... clients a range of products and services in capital market activities, investment banking, structured finance , commercial...and Cyber Risk Management Contract type Permanent Contract … more
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  • Porsche (Atlanta, GA)
    …(eg, FRM, CFA) a plus. Experience: 4+ years of experience in credit risk management , finance , accounting, statistical modeling, or related fields. ... Experience within a Captive Finance Company risk management area...compensation regularly and may adjust base salaries to reflect market competitiveness. In addition to salary, individuals may be… more
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  • MUFG (New York, NY)
    …analysis, including expected financial results and risk analysis for senior management and control functions Support Project Finance deals and transactions ... liaising with the Portfolio Group by applying in-depth knowledge of the project finance market , credit analysis and administration Advise clients on matters… more
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  • Consultative Search Group (Los Angeles, CA)
    …intake, approvals, documentation, and compliance tracking Partnering with Legal Project Management (LPM) and Finance to conduct retrospectives on engagements ... a Pricing Manager to join their dynamic team. The Finance Manger - Profitability & Analytics is an integral...to support the firm's Pricing Approval Committee, and identifying risk trends, opportunity areas, and potential guardrails for fee… more
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  • Morgan Stanley (Boston, MA)
    …of businesses and products in alignment with Morgan Stanley's Non-Financial Risk Management program framework including operational resiliency, incident ... more than 1,200 offices in 43 countries. As a market leader, the talent and passion of our people...(eg change management , SDLC, information security practices, risk management frameworks) Excellent communication (written, verbal… more
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  • Royal Bank of Canada (Jersey City, NJ)
    Risk within Business Processes. Operational risks (Business Continuity; Finance ; Fraud; Information Management ; Legal; Model; People; Privacy; Processing ... Job Description What is the opportunity? The Internal Audit Senior Manager - Risk Management will provide independent, objective assurance over the design and… more
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  • Societe Generale (New York, NY)
    …prepare financial models. Present an Analysis of cash flows, financial ratios, key market trends, etc. Must be able to identify recurring and non-recurring sources ... as well as for renewals and modifications. This includes financial and risk analysis, tenant analysis, repayment sources, collateral, financial & reporting covenants… more
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  • Citigroup, Inc. (New York, NY)
    …closely with CEF transaction execution teams, financial controllers, tax department, Citi Risk Management teams, and legal to ensure compliance with internal ... Citi's Clean Energy Finance (CEF) team is seeking a candidate to...tax equity investments, including tax benefits, projected returns, and risk assessments. Create and manage databases to collect, organize,… more
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  • EisnerAmper LLP (Houston, MN)
    …to document current and future state of business functions, execute change management efforts related to finance business optimization, visioning, and ... to succeed and the autonomy to reach your goals. The Consulting Manager - Finance & Business Transformation position is responsible for oversight and management more
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  • Cantor Fitzgerald Securities (New York, NY)
    …improve risk transparency and efficiency. Qualifications: 7+ years of experience in liquidity risk management , treasury, or market risk within a ... or other data analysis tools is preferred. Educational Qualifications: Bachelor's degree in finance , Accounting, Economics, Risk Management , or a related… more
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  • Wells Fargo (New York, NY)
    …provide ticking PnL and risk reporting for trading desks and their management , advanced market risk calculations including full-revaluation VaR, and ... risk systems into one cohesive, cross-asset platform that provides front-line risk management capabilities, risk calculations to second-line functions,… more
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