- Formation Bio (New York, NY)
- …security requirements. Identify opportunities for cost savings, contract optimizations, and risk mitigation. Implement procurement analytics and reporting tools ... spend and procurement trends. Stay informed of industry trends, supplier market dynamics, and regulatory changes impacting procurement. About You Bachelor's degree… more
- Mizuho Corporate Bank (New York, NY)
- Summary As an Associate of Quantitative Market Risk Analytics , the primary role will involve actively participating in the development of methodologies and ... and governance of historical time series data + Develop Market Risk Analytics platform +...its capabilities span corporate and investment banking, capital markets, equity and fixed income sales & trading, derivatives, FX,… more
- CoStar Realty Information, Inc. (Boston, MA)
- …available, we provide an invaluable edge in real estate. CoStar Risk Analytics , located in Boston, MA, works with market participants across the commercial ... Quantitative Analyst, CoStar Risk Analytics Job Description CoStar Group...analysis, impact analysis and attribution analysis) and regulatory model risk management compliance. + Conduct market research… more
- JPMorgan Chase (Columbus, OH)
- …will leverage your expertise in global financial markets, market and credit risk management frameworks, risk analytics , and Wealth Management's lending ... in market dynamics, analyze event impacts, produce analytics and reporting, support risk reviews, and...compensation, paid in the form of cash and/or forfeitable equity , awarded in recognition of individual achievements and contributions.… more
- Mizuho Corporate Bank (New York, NY)
- Summary The Credit Risk Analytics team lead is responsible for overseeing the development and management of methodologies and analytics for the suite of ... Wholesale and Counterparty credit risk models. The Candidate will manage the Credit Risk Analytics team, a division of the Risk Analytics Team, that… more
- Elevance Health (Woodbridge, NJ)
- **Medicare Risk Adjustment Advanced Analytics Analyst** **On-Site Requirement: Hybrid 1;** **This role requires associates to be in-office 1 - 2 days per week,** ... unless an accommodation is granted as required by law._ The **Medicare Risk Adjustment Advanced Analytics Analyst** is responsible for employing advanced… more
- JPMorgan Chase (Plano, TX)
- …C-suite executives (CROs) and senior stakeholders, requiring a blend of strong analytics expertise, risk management knowledge, and excellent communication skills ... manage commercial lending portfolios. **Job Responsibilities** * Execute a comprehensive analytics strategy to enhance the organization's risk management… more
- Elevance Health (Louisville, KY)
- **Medicare Risk Adjustment Advanced Analytics Consultant** **On-Site Requirement: Hybrid 1;** **This role requires associates to be in-office 1 - 2 days per ... unless an accommodation is granted as required by law._ The **Medicare Risk Adjustment Advanced Analytics Consultant** is responsible for employing advanced… more
- CoStar Realty Information, Inc. (Boston, MA)
- Business Analyst, CoStar Risk Analytics Job Description CoStar Group (NASDAQ: CSGP) is a leading global provider of commercial and residential real estate ... we provide an invaluable edge in real estate. **CoStar Risk Analytics ** , located in Boston, MA,...Analytics ** , located in Boston, MA, works with market participants across the commercial real estate (CRE) lending… more
- JPMorgan Chase (Plano, TX)
- …Monitor portfolio risk metrics, including Strategic Stress Exposure (SSE), Gross Market Concentrations (GMC), and Wrong Way (WW) Risks, to ensure compliance with ... or Economics. + Minimum 5 years of experience in risk management, stress testing, or portfolio analytics ...such as CFA, CQF, or FRM. + Experience in Market / Credit risk , Trading, or Trading… more
- JPMorgan Chase (Newark, DE)
- …(BM&A) group within CIO is responsible for calculating, analyzing, and reporting firm-wide RWA for market risk , wholesale credit risk and retail risk ... assessing regulatory policy, driving enhancements to infrastructure needed to support risk regulatory reporting processes related to Basel methodology, and RWA… more
- Wells Fargo (Charlotte, NC)
- …and ensuring models are used appropriately and effectively throughout the bank. **Trading and Market Risk Division of MRM** is responsible for the model risk ... Investment Banking (CIB) Marekts for front office trading and risk management activities and by Market and...Equity , FX, Rates, RMBS, and electronic trading. MCRM risk exposure models cover Basel (VaR and FRTB), Capital… more
- Amazon (San Diego, CA)
- …identify and neutralize new and emerging fraud threats? Our mission in Buyer Risk Prevention (BRP) is to make Amazon.com the safest place to transact online. ... As such, BRP designs and builds the software systems, risk models and operational processes that minimize risk...this position ranges from $66,800/year in our lowest geographic market up to $142,800/year in our highest geographic … more
- Citigroup (New York, NY)
- The Equity Market Risk team is... limits/triggers. + Drive Projects to improve accuracy of Market Risk Analytics ; Frequent interaction with ... responsible for measuring, monitoring, and analyzing the organization's market risk exposure on a day-to-day and... risk variation. Interaction with Model Validation, Risk Analytics and Financial Control to ensure… more
- UGI Corporation (King Of Prussia, PA)
- …positions, valuations, and risk metrics across global operations including mark-to- market valuations, P&L attribution, and performance analytics with global ... Director of Market Risk Management Location: King Of...processes across multiple markets + Demonstrated expertise in advanced risk analytics , net exposure calculation, and portfolio… more
- Wells Fargo (St. Louis, MO)
- …as to measure the risk of possible economic loss from adverse changes in market risk factors such as equity and commodity prices, interest rates, credit ... Quantitative Analytics Specialist (Assistant Vice-President)** to join the **Trading and Market Risk Division** . Our diverse coverage offers a world of… more
- JPMorgan Chase (New York, NY)
- …municipal bonds portfolio, including execution of stress testing methodology, analysis of market risk drivers, and communication of results to senior management. ... Evaluate and implement updates to financial models used in market risk management, including challenges to proposed...Risk Modeling; Monte-Carlo Simulation; Bond Math; Stress Testing; Risk Analytics ; Prepayment; Fixed Income Risk… more
- Mizuho Corporate Bank (New York, NY)
- …the various methods used in anomaly detection and backfilling methodologies. + Work closely with Risk Analytics , Market Risk managers, and the Front ... data used in calculating VaR, SVaR, and other Market Risk metrics. You will have a...with data availability across Interest Rates, FX, Credit, and Equity asset classes. + Experience building productive working relationships… more
- BAE Systems (Fort Walton Beach, FL)
- …best practices. + Stay current with the latest trends and technologies in data analytics and supply chain risk management - leveraging this expertise to drive ... innovation and enhance our data analytics capabilities. **Supplier Risk Assessment and Governance**...factors including, but not limited to: business considerations, local market conditions, and internal equity , as well… more
- Mizuho Corporate Bank (New York, NY)
- …and continuous monitoring is preferred.Experience in banking, capital markets, treasury, risk management (credit, market , liquidity and operational), audit, ... of different business areas of the bank to evaluate the effectiveness of risk management and governance processes. Along with its counterparts in London, Hong Kong… more