- Bank of America (New York, NY)
- …models and electronic systems for pricing, electronic market making and automatic risk management for the Rates trading desks. This role operates in close ... VP, Quant Strategist - Rates eTrading New York, New York **To proceed...other lines of business across FICC. + Performs end-to-end market risk stress testing including scenario design,… more
- Aegon Asset Management (Baltimore, MD)
- …* For more information, visit transamerica.com . Job Description Summary The Manager Risk Management, Methodology provides guidance to the Methodology team ... take a leading role in the development of financial market risk models and methodology across multiple...and advice regarding technical actuarial issues such as pricing rates , modeling methodology, reserving principles and related matters. +… more
- Bank of America (Jersey City, NJ)
- EFR Interest Rate Risk Manager Charlotte, North Carolina;Jersey City, New Jersey; New York, New York **To proceed with your application, you must be at least 18 ... must be at least 18 years of age.** Acknowledge (https://ghr.wd1.myworkdayjobs.com/Lateral-US/job/Charlotte/EFR-Interest-Rate- Risk - Manager \_25029516) **Job Description:** At Bank of America,… more
- SMBC (New York, NY)
- …related departments and groups. The department is organized into four functional groups - Credit Risk Group, Market Risk and Analytics Group, Model Risk ... a broad product portfolio, with specific emphasis on interest rates and foreign exchange products such as interest &...and will represent the team in various forums. The risk management department is responsible for market ,… more
- MUFG (New York, NY)
- …Power BI/Tableau, and Python or VBA a plus. * Solid understanding of market risk concepts, financial instruments, and trading strategies. * Proven experience ... analytical professional to join our team in a role that bridges financial risk analysis and front-office business management. Serving as a critical support resource… more
- Tradeweb (New York, NY)
- **Company Description** Tradeweb is a global leader in electronic trading for rates , credit, equities, and money markets. As financial markets become increasingly ... is seeking a proactive and analytically strong Vice President to join the Enterprise Risk Management (ERM) team in New York. This role sits within the Second Line… more
- Tradeweb (New York, NY)
- **Company Description** Tradeweb is a global leader in electronic trading for rates , credit, equities, and money markets. As financial markets become increasingly ... is seeking a motivated and execution-focused Vice President to join the First Line Risk & Control function. Operating under the direction and guidance of the Global… more
- Enverus (Houston, TX)
- Sales Manager (Leadership Role), Trading & Risk - Commodities Why YOU want this position At Enverus, we're committed to empowering the global quality of life by ... more sustainable tomorrow. We are currently seeking a Sales Manager to join our Trading & Risk ...business development, product and other functions on go to market plan and execution of sales targets + Directs… more
- Citigroup (New York, NY)
- …Reporting to the ETRM Global Head of Equities and Spread Products, this Risk Manager will provide leadership, guidance and independent review and challenge ... firm with most of that activity occurring in Citi's Market trading businesses (FX, Equities, Rates , Spread...Spread Products and NAM/LATAM Equities Businesses. **Key Responsibilities:** The Risk Manager will collaborate with Subject Matter… more
- Motion Recruitment Partners (Tampa, FL)
- Project Manager / Capital Market Tampa, Florida **Hybrid** Contract $73/hr - $78/hr Grow your career as a Project Manager with an innovative global bank in ... Capital Markets, Cash, Derivatives, Money Markets covering Cross Asset product groups: Rates , FX, Credit, Equities, Commodities & GSP. + 4+ years of experience… more
- JPMorgan Chase (Plano, TX)
- …experience in the job offered or as CIB Risk , Wholesale Credit Risk Associate/Analyst, Credit Manager , or related occupation. Skills Required: This position ... data and financial statements of individual clients to determine the degree of risk involved in extending credit or loaning money for new loans and derivatives… more
- Commerce Bank (St. Louis, MO)
- …to bank products + Intermediate understanding of QRM + Intermediate understanding of market rates and how they impact income + Intermediate understanding of ... as a backup for the Liquidity and Capital Planning Manager as needed + Utilize Qualitative Risk ...Planning Manager as needed + Utilize Qualitative Risk Management (QRM) forecasting software to produce the Company's… more
- MUFG (New York, NY)
- …with Sales team to leverage it. **Work Experience:** Essential: + Senior experience with Emerging Market FX and IR Risk Manager in Asian Currencies + Track ... IR business. + Managing Portfolio on FX & IR Risk focusing on Asian Emerging Market Currencies...and strategic activities Preferred: + Relevant Experience in EM Rates trading + Experience in Cross assets Trading and… more
- CenterWell (Olympia, WA)
- …a part of our caring community and help us put health first** The Market Executive of Clinical Quality will be responsible for driving clinical quality and ... regulatory metrics by onsite leadership in assigned market . The Market Executive will be accountable for the following: clinical and survey metrics, clinical… more
- CenterWell (Richmond, VA)
- **Become a part of our caring community and help us put health first** The Market CMO is an instrumental clinical leader of our primary care team, combining clinical ... patient care and alignment with Value-Based Care (VBC) principles. This market specific role requires flexibility to adapt responsibilities as needed and… more
- HSBC (New York, NY)
- …processes and controls across lines of business (asset classes) and support functions ( market risk , liquidity risk , finance, operations, surveillance, ... covering a wide range of products such as interest rates , treasury / money markets, options, swaps, structured derivatives,...lines of defence functions (eg Product Control / Finance, Market Risk , Regulatory Compliance, Front Office, Markets… more
- Regions Bank (Birmingham, AL)
- …the careers section of the system. **Job Description:** At Regions, the Product Manager assists in the development, execution, and tracking of marketing or business ... sales information, projections, and other meaningful data and prepares forecasts on market evolution and company products + Leads the executions of marketing… more
- AON (Fort Washington, PA)
- Program Manager III- Account Management - AICPA Life and Disability Insurance Trusts In this role, the Program Manager III will play a pivotal role in managing ... of CPAs. The AICPA Member Insurance Programs empower CPAs to effectively manage risk both professionally and personally. This role is pivotal in delivering solutions… more
- Umpqua Bank (Roseville, CA)
- …complete banking relationships; bolster client experience and satisfaction. Reports to Market Manager . + Utilize existing financial/ market information ... Client Solutions Manager Commercial Banking Roseville, California **Description** **About Us:**...business. Together for better. **About the Role:** Responsible for credit/ risk monitoring; Credit Review (CR) workflow management & prioritization;… more
- S&P Global (Chicago, IL)
- …Level (for internal use):** 13 **About the** **Role:** Credit Services Sales Manager , Corporates, Americas **The Team:** This is an exciting opportunity to join ... a significant contributor to the overall growth of the Risk & Valuations Services (RVS) Business. CS has senior...forefront of solving new challenges for clients as the market and regulatory landscape continues to change. For example;… more