- Deutsche Bank (New York, NY)
- Job Description: Job Title Latin America Credit Risk Officer Corporate Title Vice President Location New York, NY Overview The Latin America Credit Risk ... Management credit team is tasked with managing the credit risk inherent in Deutsche Bank's business activities with Latin American clients, including… more
- Bank of Hope (Dallas, TX)
- …Ensure timely communication with borrowers, loan officers, portfolio managers and credit administration. Comply with all applicable enterprise risk management ... a full understanding of the customer's: Nature of business and business model Business strategy and long-term objectives Business requirements Industry trends … more
- KeyBank (Cleveland, OH)
- …to existing exposure. Additionally, the Associate, Portfolio Management is responsible for ongoing credit monitoring and risk rating for a portfolio of corporate ... Review and properly maintain all necessary legal documentation including credit agreements, guarantees, security pledges, and collateral documentation… more
- Scotiabank (New York, NY)
- …record in building relationships. Knowledge and understanding of transaction banking products, credit and risk processes and pricing philosophy. Strong project ... as described above. Ensuring a consistent deployment of our Global Sales model across Client Segments, including foundational processes such as Portfolio Creation,… more
- Hilltop Holdings (Austin, TX)
- …skills to efficiently identify and structure opportunities that align with the bank's credit policy and risk appetite. This position requires a full relationship ... to key organizations, community groups and industry associations to expand market reach. Credit & Risk Management Identify and structure transactions that align… more
- Federal Home Loan Bank of Boston (Boston, MA)
- Senior Credit Model Risk Analyst &...operations within Credit and Collateral Risk . + Liaison to internal and external Model ... Summary As a hands-on Analyst (Internal title is Senior Credit & Collateral Risk Analyst... models include, but are not limited to, testing model version upgrades and model validation activities… more
- JPMorgan Chase (New York, NY)
- …strategy, commentary) to ensure internal and external deliverables are met. Collaborate with Credit Risk SMEs and partners and ensure thorough assessments and ... compliance by adhering to policies and procedures including Credit Risk Management, Credit ...(EAD); simulate adverse market conditions and their impact on credit portfolios through stress testing; collateral management… more
- Citigroup (Irving, TX)
- …+ Partner and support with the Wholesale Workstream Model Risk Management as a liaison for Wholesale Credit Frameworks. Responsibilities ... various credit policies. + Thorough knowledge of credit source systems, collateral reporting systems, and...communicate data-driven analysis to senior management. + Knowledge of risk management key concepts, risk credit… more
- Santander US (Dallas, TX)
- …to develop analytic insights, sound hypotheses, and informed recommendations. * Incorporate credit risk , customer behavior, collateral trend and market ... Pricing & Credit Model Analyst Country: United States...Pricing & Credit Model Analyst Country: United States of America **Your...approach to data analysis. You will work closely with credit risk , finance, data science, and product… more
- Bank OZK (Dallas, TX)
- …Moody's RiskCalc and CMM tools to assess borrower and property-level or collateral -level risk . + Conducts model performance monitoring, benchmarking, ... and consistency. + Partners with Credit , Lending, Finance, and Risk teams to integrate model insights into credit decisioning and portfolio management. +… more
- Regions Bank (Charlotte, NC)
- …and negotiates complex PWM credit products to both competitively meet unique PWM client credit needs and minimize credit risk + Prepares credit ... bank PWM, commercial loan policy, and consumer loan policy, credit risk appetite, and external regulatory requirements...Compliance issues + Prior experience with the Individual Rating Model in Moody's Risk Analyst (MRA) +… more
- SMBC (New York, NY)
- …and/or Masters' degree with minimum of 10 years of work experience in credit risk management, underwriting, lending or review with experience in diverse ... in credit analysis, accounting, corporate finance and/or research + Experience with credit /loan risk review process preferred. Formal credit training a… more
- Mizuho Corporate Bank (New York, NY)
- …infrastructure. Create new detective controls to enhance data quality. + Assist Credit Risk Management team for client on-boarding, updating counterparty ... of intraday and end of day limits, excesses and collateral disputes. + Responsible for exposure and portfolio management...Work closely with IT to streamline current workflow under Credit Risk Management (prepare BRD, conduct meetings… more
- BlackRock (New York, NY)
- …Partners (GIP), a part of BlackRock, anticipates significant further Infrastructure Credit product launches and fundraising activity in 2025 and beyond and ... is seeking a VP level candidate. As part of the GIP Infra Credit Strategy team the candidate will support product fundraising, new product launches, investor… more
- Wellington (Boston, MA)
- …credit and real estate data & workflows into the newly designed private credit operating model . Additionally, the Senior Analyst will assist in the ... the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional clients in more than 60 countries, draw on a… more
- US Bank (New York, NY)
- …used for hedging activities. The hedging product sets include but not limited to credit derivative, credit risk transfer products, equity like derivatives ... derivatives ensuring such products are appropriately configured in counterparty model and risk measures are accurately quantified....how market data impacts the downstream uses + Counterparty credit risk and CVA + Understanding of… more
- Bloomberg (New York, NY)
- …Office Risk , Market Risk , Credit Risk , Counterparty Risk , Hedge accounting, Climate Risk , Collateral management and API. We partner with ... and mortgage cash flow engine, MARS enables front office, risk and collateral professionals to analyze their...(VaR), Fundamental Review Trading Book (FRTB), Standard Initial Margin Model (SIMM), Counterparty Risk (XVA), and Multi-asset… more
- SitusAMC (Jackson, MS)
- …act local - come join our team! This role will be part of the Credit Analytics team that is responsible for managing, monitoring, and reporting on the performance of ... real estate finance, terminology, and performance metrics. Essential Job Functions: + Model new assets in loan performance templates that report historical and… more
- Citigroup (Irving, TX)
- …technologies in a Cloud platform. **Team Background** Limit Management System under Credit Risk Technology is responsible for delivering configurable workflow ... based solutions to manage Wholesale Credit Risk globally. We build tools that...on the system for an integrated view of trades, collateral , market data, across many dozens of sources. **Key… more
- Citigroup (Jersey City, NJ)
- …processes and drive strategy across our industry. **Team/Position Overview:** Margin & Collateral Optimisation within Markets Operations helps mitigate risk and ... with regulatory requirements, whilst delivering best-in-class capabilities in margin and collateral management, inventory management, risk management and … more