• Fidelity TalentSource LLC (Boston, MA)
    risk modelling, risk monitoring and reporting, stress testing, scenario analysis , and counterparty and custody risk management.Work closely with ... with regulatorsDevelop and maintain investment risk frameworks and risk appetite statements (including market, credit, operational, counterparty credit,… more
    JobGet (04/14/24)
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  • Fidelity TalentSource LLC (Boston, MA)
    …will:Evaluate risks of new products including potential reinsurance options and recommend risk management solutions. Model risks of the company including (i) ... companies economic capital models.Develop, build and enhance the companies climate change risk models.Promote and maintain model governance and documentation as… more
    JobGet (04/14/24)
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  • Quantitative Analytics & Model Development…

    PNC (Pittsburgh, PA)
    …calculus background. *Extensive experience (10+ years) in market risk and counterparty risk model development and/or validation within the financial ... an accomplished Senior Validation Manager to lead our Market Risk Model and Counterparty Credit...important business decisions and policies. Oversees robust and comprehensive model review testing and analysis in accordance… more
    PNC (03/19/24)
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  • Counterparty Risk - Vice President

    SMBC (New York, NY)
    …requirements (SR 11-10). The candidate will perform ongoing counterparty surveillance, risk exposure monitoring, ad-hoc analysis on various risk ... functional groups - Credit Risk Group, Market Risk and Analytics Group, Model Risk...and committees (GRMC, RMC etc.) + Perform Wrong Way Risk analysis for counterparties and enhance existing… more
    SMBC (03/19/24)
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  • Counterparty Credit Risk

    SMBC (New York, NY)
    …with policies and procedures. Within Credit Risk Group, counterparty credit risk team performs risk exposure analysis /analytics and risk ... functional groups - Credit Risk Group, Market Risk and Analytics Group, Model Risk...monitoring. **Role Objectives** + Perform and maintain gap analysis of firm's counterparty credit risk more
    SMBC (03/06/24)
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  • Risk Analysis Specialist I

    Bank of America (Chicago, IL)
    Risk Analysis Specialist I Chicago, Illinois **Job Description:** At Bank of America, we are guided by a common purpose to help make financial lives better ... Analytics** Bank of America has an opportunity for a Risk Analysis Specialist I within our Global...development, GRA conducts model implementation, data management, model execution and analysis , forecast administration, and… more
    Bank of America (03/01/24)
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  • Model Risk Manager - Capital Markets

    Raymond James Financial, Inc. (St. Petersburg, FL)
    …and issue model validation reports based on the criteria set out in Model Risk Management (MRM) SR 11-17 guideline. This position requires strong fixed ... markets industry and asset management experience. It requires strong model risk management and model ...institutional trading, private banking, asset management, etc. * Market risk (VaR/Stress VaR), ALM, counterparty credit … more
    Raymond James Financial, Inc. (03/15/24)
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  • Risk Analysis Specialist I

    Bank of America (Chicago, IL)
    Risk Analysis Specialist I Chicago, Illinois **Job Description:** At Bank of America, we are guided by a common purpose to help make financial lives better ... Analytics** Bank of America has an opportunity for a Risk Analysis Specialist I within our Global...development, GRA conducts model implementation, data management, model execution and analysis , forecast administration, and… more
    Bank of America (02/18/24)
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  • Risk Model Validation Specialist

    SMBC (White Plains, NY)
    …background to join the Market & Liquidity Model Validation Team within the Model Risk & Validation Group. The Market & Liquidity Model Validation ... of derivative pricing, e-trading, market risk , liquidity risk and xVA/CCR models + Apply robust model...pricing (particularly interest rate and FX products), interest rate, counterparty credit risk , market risk ,… more
    SMBC (03/12/24)
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  • Quantitative Finance Analyst - Global Markets…

    Bank of America (Chicago, IL)
    …responsibilities will involve: + Perform in-depth analysis on the Bank's Value at Risk (VaR) model and Risks Not in VaR (RNiV) models employed for market ... Analytics (GRA). It responsible for developing, maintaining, and monitoring counterparty credit risk and market risk...reports. + Communicate results of model performance analysis to model stakeholders including risk more
    Bank of America (02/18/24)
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  • Associate - Funds - Credit Risk

    Morgan Stanley (New York, NY)
    …on the Position The role will reside within the Firm Risk Management's Credit Risk Management department, on the Counterparty Credit Risk team which is ... responsible for the independent identification, evaluation, monitoring, and management of Counterparty Credit Risk associated with various sales and trading… more
    Morgan Stanley (04/18/24)
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  • ICM - Credit Officer, Real Money Funds…

    Citigroup (New York, NY)
    …(ICM) group and be responsible for measuring, monitoring and controlling counterparty risk for institutional clients. Analyzing portfolios and businesses, ... team within ICM responsible for measuring, monitoring and controlling counterparty risk . To fulfill this role, a...liquidity risk + Perform daily and weekly risk analysis and reporting on existing client… more
    Citigroup (03/29/24)
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  • Risk Management - Capital Risk

    JPMorgan Chase (Brooklyn, NY)
    …qualifications, capabilities, and skills** + Experience as an economist/financial economist in risk analysis division of OCC, supervision division of FRB (Bank ... or more of the core regulatory capital frameworks: Market Risk , Counterparty Credit Risk , CVA...Risk , CVA + Experience in quantitative modeling or model review/validation in one or more of the core… more
    JPMorgan Chase (03/13/24)
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  • Market Risk Analytics

    Mizuho Corporate Bank (New York, NY)
    …which can enhance and improve the risk analysis . + Conduct analysis on existing model short-comings and design remediation plans + Maintain, update, ... , stress, and capital models. Candidate will join the Risk Analytics group that partakes in model ...improve and back-test risk models + Analysis and governance of… more
    Mizuho Corporate Bank (04/17/24)
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  • Quantitative Risk Analytics - Associate

    Mizuho Corporate Bank (New York, NY)
    …which can enhance and improve the risk analysis . + Conduct analysis on existing model short-comings and design remediation plans + Maintain, update, ... , stress, and capital models. Candidate will join the Risk Analytics group that partakes in model ...improve and back-test risk models + Analysis of historical time… more
    Mizuho Corporate Bank (04/17/24)
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  • Quantitative Credit Risk Analytics, VP

    Mizuho Corporate Bank (New York, NY)
    …which can enhance and improve the risk analysis . + Conduct analysis on existing model short-comings and design remediation plans. + Maintain, update, and ... for developing methodologies and managing analytics for stress testing, risk appetite, CECL, economic capital and counterparty ...and value-at- risk . Candidate will join the Credit Risk Analytics group that partakes in model more
    Mizuho Corporate Bank (02/01/24)
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  • Market Risk Governance Specialist

    SMBC (New York, NY)
    …finance, compliance, legal and IT. Work cooperatively with industry specialists, country risk managers, credit review / analysis staff and relationship managers ... concepts and related valuation concepts (eg VaR and stress-testing standards, counterparty exposure estimation, liquidity estimation, model assessment and… more
    SMBC (04/03/24)
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  • Corporate & Investment Bank Risk Management…

    JPMorgan Chase (New York, NY)
    …Analyst may include: performing analysis /due diligence on a counterparty /product, monitoring risk sensitivities across individual counterparties and the ... finance, economics, equity capital markets, debt capital markets and risk analysis . As a 2025 Summer Analyst...Reputational Risk , Country Risk , Principal Risk , and Model Risk . CTC… more
    JPMorgan Chase (04/03/24)
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  • Market Risk Strategic Initiatives Director

    SMBC (New York, NY)
    … and related valuation concepts (eg VaR and stress-testing standards, counterparty exposure estimation, liquidity estimation, model assessment and validation, ... be based on their individual qualifications, experiences, and an analysis of the current compensation paid in their geography...Description** CM is seeking a Vice President within its Risk Management Department. The role will report into the… more
    SMBC (04/12/24)
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  • Vice President, Credit Risk ( Risk

    Morgan Stanley (New York, NY)
    …credit due diligence and approval of credit limits, comprised of credit analysis on counterparties via financial statements, determining risk ratings, and ... Firm Risk Management (FRM) supports Morgan Stanley to achieve...losses as a result of credit, market, liquidity, operational, model and other risks. Background on the Position The… more
    Morgan Stanley (04/18/24)
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