- Federal Home Loan Bank of Boston (Boston, MA)
- Credit & Collateral Model Risk Analyst I or II Location Boston Apply Now ... The primary responsibility of this position (internal title is Credit & Collateral Risk Analyst...on all Bank collateral , encompassing facets of Credit , Market, and Model risk .… 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
- Citigroup (Jersey City, NJ)
- …a newly formed growing team established to deliver best-in-class capabilities in collateral management, inventory management, risk management and collateral ... and other key stakeholders across Operations, Technology, Markets, Finance, Legal, Risk & Treasury. **Transformation:** The Collateral Optimization Program for… more
- Celtic Bank (Salt Lake City, UT)
- …seeking a talented and experienced Audit Manager to lead and continue developing a credit risk audit program. Position Overview: The Audit Manager will have ... An objective will be driving compliance with interagency guidance and best credit risk management practices, while working closely with senior management.… 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
- JPMorgan Chase (New York, NY)
- …posture across the digital lending lifecycle, including lead enablement, loan origination, credit risk , portfolio management, and digital lending tools. **Job ... As a Digital Risk and Control Manager - Credit ...strongly preferred: Syndications, Leveraged Finance, Environmental, Social, Green (ESG), Collateral Based (ABL, Equipment, Commercial Mortgage), Trade & Treasury… more
- PSEG (Newark, NJ)
- …Summary** Work closely with the Manager of Energy Supply Administration and Enterprise Credit Risk Management to identify, enforce and monitor counterparty ... corporate credit models to manage and monitor credit risk daily. Responsible for continuous monitoring... exposure from all the counterparties and determine the collateral requirements to enforce credit policies and… more
- TD Bank (Philadelphia, PA)
- …identify trends, measure performance, assess financial strength and develop an assessment of credit risk + May prepare complete written analysis with appropriate ... Loan Policy and becomes familiar with alternative structures in order to reduce credit risk + Achieves operational performance standards in quality and… more
- KeyBank (Cleveland, OH)
- …Lead"/Administrative Agent roles) for which they will take ownership of ongoing credit monitoring and risk rating, negotiating and reviewing legal documentation, ... Viewed as a critical financial advisor/partner by the client/borrower and respected by Credit for a solid reputation managing risk . . Perform enhanced leveraged… 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
- NRG Energy, Inc. (Houston, TX)
- …Market Risk Analytics is responsible for analyzing financial and credit / collateral risks associated with energy trading and marketing activities, including ... profile of potential transactions, along with the associated credit and collateral implications + Perform model validations to ensure compliance with… 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
- BlackRock (New York, NY)
- …management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary, and individual ... one of the industry's broadest arrays of investment choices across index, model -based and fundamental investment styles. Within FFI, the global Securitized Assets… more
- KeyBank (Cleveland, OH)
- …QUALIFICATIONS** + Minimum of five (5) years of experience in corporate credit Portfolio Management/ Credit Risk /Relationship Management + Undergraduate ... **PREFERRED QUALIFICATIONS** + Minimum of seven (7) years of experience in corporate credit Portfolio Management/ Credit Risk /Relationship Management + MBA +… 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
- 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
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …and maintain advanced risk analytics solutions to assess exposures in market, credit , collateral , and liquidity risk management. Work closely with ... high level of autonomy, the Vice President of RJF Risk Data & Analytics will support the technology, platforms,...Qlik, Tableau, Domo, PowerBI, Github, Data Build Tool (dbt), Model Op, Snowflake, Azure, AWS, Redshift, Confluence, Azure DevOps… more
- Citigroup (Jersey City, NJ)
- …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
- 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
- M&T Bank (Buffalo, NY)
- …and material modifications from deal screen through approval. + Manage the ongoing credit risk of existing loans through continuous credit monitoring ... through financial statement and tax return analysis, industry assessment, collateral valuation, cash flow analysis, and ability to repay...activities enabling the timely identification of emerging credit risk so that appropriate actions can… more