• Model Risk Analyst

    Motion Recruitment Partners (New York, NY)
    Model Risk Analyst - Capital Markets New York, New York **Hybrid** Contract $91/hr - $98/hr Grow your career with an innovative global bank in New York, ... NY as a Model Risk Analyst with capital markets experience. Contract role with strong possibility of extension. Will require working a hybrid schedule 3… more
    Motion Recruitment Partners (06/05/25)
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  • Model Validation Analyst

    SMBC (New York, NY)
    Analyst plays an active role in the implementation and enhancement of Model Risk Management framework for the NYB and subsidiaries by performing independent ... validation of Credit Risk , Liquidity Risk , and capital ... stress testing models with the goals of enhancing model risk governance and improving model more
    SMBC (05/06/25)
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  • Model Validation Analyst

    SMBC (White Plains, NY)
    Analyst plays an active role in the implementation and enhancement of Model Risk Management framework for the NYB and subsidiaries by performing independent ... validation of Credit Risk , Liquidity Risk , and capital ... stress testing models with the goals of enhancing model risk governance and improving model more
    SMBC (04/06/25)
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  • Sr. Analyst , Risk Modeling

    Santander US (New York, NY)
    …Want to Talk to You!** **The Difference You Make:** The Senior Analyst , Risk Modeling is part of Santander's Model Development department and responsible for ... supporting operational risk model development. These models are used to support bank...and internal capital planning process. The Senior Analyst , Risk Modeling serves as an expert… more
    Santander US (05/21/25)
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  • VP Market Risk Quantitative Analyst

    Santander US (New York, NY)
    …5+ Years of working experience with 3+ years of experience in trading market risk model development and/or validation within the financial services industry is ... VP Market Risk Quantitative Analyst Country: United States...analytical rigor with programming skills to support and document risk management and financial modeling initiatives. Independent Model more
    Santander US (04/29/25)
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  • AVP, Quantitative Risk Analyst

    Aflac (New York, NY)
    AVP, Quantitative Risk Analyst (Investments) The Company: Aflac Asset Mgt. LLC The Location: New York City, NY, US, 10005 The Division: Global Investment Job Id: ... Collaborate on the development, implementation and validation of the division's investment risk and capital models. Support the enhancement of the investment… more
    Aflac (03/08/25)
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  • Quantitative Analyst , Model

    BlackRock (New York, NY)
    …management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary, and individual ... strategies designed to gain broad exposure to the world's capital markets. Our clients can access our investment solutions...Security Pricing (SSP)** area. We specialize in crafting sophisticated risk and valuation models that span a diverse range… more
    BlackRock (05/28/25)
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  • Expert Risk Analyst - Treasury

    M&T Bank (Buffalo, NY)
    **Overview:** The Senior Risk Analyst will support, and report, to the Segment Risk Manager responsible for oversight of market or liquidity risk ... related duties as assigned. **Scope of Responsibilities:** The Senior Risk Analyst must be adept at working...Preferred:** Master's degree and/or CFA preferred. Experience in treasury risk management, asset liability management or capital more
    M&T Bank (06/04/25)
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  • Trading Risk and Control Analyst

    SMBC (New York, NY)
    …rate futures & options, currency futures, treasury futures & options, etc. The Trading Risk & Control group in Capital Markets is seeking a highly motivated ... Mexico, Brazil, Chile, Colombia, and Peru. Backed by the capital strength of SMBC Group and the value of...career in an interest rate derivative trading floor. This Analyst position is part of the trading group and… more
    SMBC (04/25/25)
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  • Counterparty Risk Analyst

    US Bank (New York, NY)
    …will be focused on new commodity product implementation. Will support broader counterparty risk team in launching over a dozen commodities products. The launch and ... implementation will include integration of these products into counterparty risk models by configuring them appropriate and ensuring all the required tests are done.… more
    US Bank (05/15/25)
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  • Commercial & Investment Bank Risk

    JPMorgan Chase (New York, NY)
    …Market Risk , Credit Risk , Reputational Risk , Country Risk , Principal Risk , and Model Risk . CTC Risk is also responsible for the ... risk management of Firmwide Liquidity Risk , Interest Rate Risk , and Capital Risk . Available locations: New York, NY **Job Responsibilities** +… more
    JPMorgan Chase (04/04/25)
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  • Senior Quantitative Model Validation…

    US Bank (New York, NY)
    capital market and wealth management areas. Works with multiple business lines, Model Risk Management team and independently through the model ... One. **Job Description** Validates and oversees creation and usage of complex financial risk management models. The models cover a variety of products or services… more
    US Bank (05/24/25)
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  • Senior Vice President, Markets Financial Reporting…

    Citigroup (Getzville, NY)
    …both quantitative and qualitative in nature. Able to manage issues associated with operational risk capital , in partnership with the business, Finance and the ... Risk organization. Acts as a role model for managing people, coaching, and serving as a mentor. Excellent Communications skills verbal & written. Active listening… more
    Citigroup (05/23/25)
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  • Senior Treasury Quantitative Analyst

    M&T Bank (Buffalo, NY)
    …customer or Bank behavior for purposes of credit, interest rate, liquidity or stressed capital risk management. Understand the context of the Bank's data and ... risk management, as well as balance sheet and capital planning. Provides independent contribution to team, including data...the Bank as required. Support engagements with colleagues in Model Risk Management for model more
    M&T Bank (04/25/25)
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  • Mortgage Analyst Trader Lead_Portfolio

    M&T Bank (Williamsville, NY)
    …within risk and trade limits. Under Senior Management supervision ( Capital Markets Expert), execute tactical trading, analytics and reporting on the pipeline ... hedged rate locked pipeline and pipeline valuation components (OMSR) adheres to risk policies established by the Bank, and Mortgage Division achieves targeted loan… more
    M&T Bank (04/04/25)
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  • Finance Domain Data Quality Analyst

    Mizuho Corporate Bank (New York, NY)
    …can cause financial loss/severe impact to the customer. Mizuho's data operating model comprises of enterprise-wide groups and federated data domains to drive ... accountability and management of data. The federated operating model ensures minimal overlaps and reduced handoffs of data...Mizuho's Finance businesses. Role Title: Finance Domain Data Quality Analyst As a Finance Domain Data Quality Analyst more
    Mizuho Corporate Bank (05/02/25)
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  • Front Office Quantitative Analyst , Vice…

    Santander US (New York, NY)
    …if you are interested in exploring the possibilities **We Want to Talk to You!** Model Development and Model Risk Management: + Develop and enhance existing ... that pertain to Model Control for Market Risk , including the market risk model...Experience and Qualifications: + 4+ years of experience in capital markets, analytics, quantitative research, or risk more
    Santander US (05/19/25)
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  • Ratings Review Analyst , Analytic Quality…

    S&P Global (New York, NY)
    …quality of S&P Global Ratings' ratings methodologies, models, and analysis. The Review Analyst will participate in assigned risk -based activities and is expected ... debt / capital markets, credit analysis / research, quantitative finance, model development or validation. + Proficient programming skills in SAS, MATLAB, or… more
    S&P Global (05/19/25)
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  • Senior Test / QA Analyst

    TD Bank (New York, NY)
    …Global Payment and Deposit Solutions (GPDS) builds and transforms the operating model and infrastructure capabilities that support the Payments and Deposit Services ... This position is for a **Senior Test / QA Analyst ** in our Payment and Deposits Solutions team and...project management team both from a timeline/cost and a risk perspective. + Execute test cases and document actual… more
    TD Bank (06/06/25)
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  • AVP Capital and Liquidity

    Athene (New York, NY)
    …inclusive and dynamic work environment at our various locations. Purpose: The AVP, Capital and Liquidity Management will be a key leader in Athene's treasury ... department and play an important role in capital and liquidity management strategy for Athene. You will...Work closely with other groups across Finance such as Risk , Actuarial, Investment Accounting and FP&A to ensure a… more
    Athene (03/23/25)
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