- Novo Nordisk Inc. (Plainsboro, NJ)
- About the Department The Finance & Operations department brings insights and intelligence to inform decision making & drives digitalization and business solutions to ... attain NNI goals. Finance & Operations works closely across the organization to...and propel data-driven decision-making.Promotes a culture of creativity and risk -taking, alongside developing processes that encourage experimentation and innovative… more
- Merck & Co. (San Francisco, CA)
- … Process, Managing Engineering Teams, Operational Metrics, Performance Monitoring, Project Management , Research Databases, Risk Management , Status Reporting, ... DSCS Digital Leadership Team to drive the execution and management of DSCS Digital initiatives.Development Sciences and Clinical Supply...to name a few, and with our partners in Finance , HR, IT, and Procurement.- Together, we advance scientific… more
- US Bank (Milwaukee, WI)
- …scenarios and if/then data dependencies + Knowledge of building and running real estate finance models to maximize profitability and balance risk + Exposure to ... industry, LIHTC program and deal financial structures + Knowledge of project finance processes: origination, yield management , underwriting, and closing +… more
- JPMorgan Chase (Columbus, OH)
- …wide variety of audiences, including business stakeholders, Finance and Technology partners, modeling teams in Risk , and Model Risk and Governance Review ... As an Applied AI ML Executive Director, within the Finance Business Modeling team, you will lead...7+ years of hands-on model development; 3 years of management experience. + Demonstrated ability to set clear goals,… more
- S&P Global (New York, NY)
- …(preferably Structured Finance ), financial instruments with an emphasis on credit risk modeling are preferred; + Basic understanding of database modeling ... Role:** **Grade Level (for internal use):** 11 The Structured Finance (SF) team is responsible for a vast portfolio...advanced degree preferred; + Knowledge of financial or credit risk modelling preferred; + Proficiency in R language and… more
- Huntington National Bank (Cleveland, OH)
- …and portfolio management . This role requires a deep understanding of statistical modeling , machine learning, and risk management frameworks, along with ... Description Quantitative Risk Modeling Lead Summary:The Quantitative ...Deep understanding of loss forecasting, loan origination, and portfolio management modeling concepts (PD, LGD, EAD). +… more
- SMBC (Jersey City, NJ)
- …portfolio of benefits to its employees. **Role Description** The Associate of Quantitative Risk Modeling is a key role within our corporate bank focused ... implementation, and management of stress testing processes, ensuring robust risk management and regulatory compliance. **Role Objectives** + Scenario… more
- JPMorgan Chase (Chicago, IL)
- Bring your expertise to JPMorganChase. As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help ... impact our company, customers and communities. Our culture in Risk Management and Compliance is all about...Lead Credit Officer - Vice President on the Specialty Finance Risk Team, you will be responsible… more
- Huntington National Bank (Columbus, OH)
- Description Summary: The Quantitative Risk Modeling Analyst Sr responsibilities to include, but not limited to the following: + Development of consumer and/or ... modeling analysts + Knowledge of loss forecasting, loan origination and portfolio management modeling concepts and methodologies (PD, LGD, EAD) + Demonstrated… more
- JPMorgan Chase (Los Angeles, CA)
- Bring your expertise to JPMorganChase. As part of Risk Management and Compliance, you are at the center of keeping JPMorganChase strong and resilient. You help ... impact our company, customers and communities. Our culture in Risk Management and Compliance is all about...+ Possesses a solid understanding of financial products, corporate finance , financial modeling and market dynamics +… more
- Charles Schwab (Westlake, TX)
- …Risk Interdiction and Detection (TRIAD) team is to provide an integrated risk management strategy that supports delivery of predictable financial and ... years of data analytics and/or general analysis experience, ideally in a fraud risk management environment with proven ability to review historical transactions… more
- Bank of America (Charlotte, NC)
- Sr. Quantitative Finance Analyst, AML Model Risk Validation...+ Collaboration + Problem Solving + Risk Management + Test Engineering + Data Modeling ... Maintains and provides oversight of model development and model risk management in respective focus areas to...(preferred) **Skills:** + Critical Thinking + Quantitative Development + Risk Analytics + Risk Modeling … more
- Santander US (New York, NY)
- …and independent oversight of credit quality of assigned portfolios within the US Leveraged Finance Risk team. They are responsible for all aspects of joining due ... responsible for reviewing, analyzing, and/or evaluating the Company's credit risk management program that renders risk...with a minimum of 5 years within a Leveraged Finance Risk role. - Required. + Advanced… more
- Santander US (New York, NY)
- …and independent oversight of credit quality of assigned portfolios within the US Leveraged Finance Risk team. They are responsible for all aspects of joining due ... equivalent work experience. - Required. 5+ years experience in Risk Management , Credit Risk , or...with a minimum of 3 years within a Leveraged Finance Risk role. - Required. + Advanced… more
- Scotiabank (New York, NY)
- …Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the financing and strategic ... Manager, US Leveraged Finance Credit Risk **Requisition ID:** 222219...projects + Coordinate and work with Head Office Global Risk Management , when necessary, in matters related… more
- CGI Technologies and Solutions, Inc. (Reston, VA)
- **Business Analyst - Risk Assessment with Mortgage/ Finance ** **Category:** Business Analysis (functional and technical) **Main location:** United States, ... actionable user stories. * Skilled in process mapping and modeling using tools like Visio, IBM BPM, or BPMN....or agile development environments. Education: Bachelor's degree in Business, Finance , Management , or a related quantitative field.… more
- Fannie Mae (Reston, VA)
- …of the mortgage finance business. You will conduct effective challenges on model risk management framework and on the effectiveness of model risk ... industry practices in credit, interest rate or counterparty credit risk modeling . * Communicate technical subject matter...as CFA, FRM, CIA * 2+ years of model risk management experience and / or auditing… more
- Aegon Asset Management (Cedar Rapids, IA)
- …or liquidity risks. + Collaborate with key stakeholders from business line valuation, ALM, risk management , and financial/ risk reporting etc. + Embrace new ... controls to mitigate operating risks in workflows. + Apply risk management techniques and procedures, including the...economics, engineering, or a related business field such as finance . + Eight years of modeling experience… more
- JPMorgan Chase (Plano, TX)
- …Support the design, testing, and implementation of quantitative models for pricing, risk management , and financial forecasting using Python or similar ... + Stay updated with the latest developments in quantitative finance and modeling techniques and explore new...data analysis. + Familiarity with financial instruments, markets, and risk management practices. JPMorganChase, one of the… more
- M&T Bank (Bridgeport, CT)
- …engineering sciences, with proven coursework proficiency in statistics, econometrics, economics, computer science, finance or risk management + Minimum of 8 ... purposes. Serves as Bank-wide or industry expert in key area(s) of quantitative risk management . Provides mentoring, training and guidance to less experienced… more
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