- M&T Bank (Buffalo, NY)
- …as appropriate. **Primary Responsibilities:** + Lead research and development of quantitative behavioral models used for credit risk, interest rate risk and ... DE.** **Overview:** Independently develops, implements, maintains, analyzes and manages quantitative /econometric behavioral models used for credit risk, interest… more
- M&T Bank (Buffalo, NY)
- …to less experienced personnel. **Primary Responsibilities:** + Research and develop quantitative behavioral models used for credit risk, interest rate risk ... MD, or Bridgeport, CT.** **Overview:** Develops, implements, maintains and analyzes quantitative /econometric behavioral models used for credit risk, interest… more
- Dow (Midland, MI)
- Treasury Manager At a glance Position: Treasury Manager Primary Location:Midland (MI, USA), Michigan, United States of America Schedule:Full time Date ... meaningful role, you're in the right place. About you Pension Investments within Treasury is seeking a Treasury Manager,located inMidland (MI, USA). This role… more
- JPMorgan Chase (New York, NY)
- …and assist with the implementation of the marketing plan + Assist the assigned Treasury Management Office (TMO) with managing the non- credit risk of customer ... creating relationship review materials, pitch books, account plans, and conducting customer research + Understand clients' Treasury cash management structure and… more
- Two95 International Inc. (Mount Laurel Township, NJ)
- …New Jersey Job Type: 6 Months (Contract) Summary The Treasury Analyst provides quantitative , analytical and research support to the company treasury and ... accountants and auditors. It includes project management responsibilities for treasury , finance and accounting related projects across all global businesses.… more
- Regions Bank (Birmingham, AL)
- …knowledge and implement the most appropriate analytical solution + Collaborates with Credit Portfolio Managers, Risk Management, Finance, Treasury , and lines of ... into the careers section of the system. **Job Description:** At Regions, the Risk Quantitative Analyst is a member of a key strategic team that is responsible for… more
- Treasury, Departmental Offices (Washington, DC)
- …you will serve as a Quantitative Analyst in the Office of Financial Research (OFR), Department of the Treasury , reporting to the Associate Director in an ... Summary This position is located at Departmental Offices,Domestic Finance-Office of Financial Research . As a/an Quantitative Analyst - Interdisciplinary,… more
- Citigroup (New York, NY)
- … quantitative methods; Risk management, portfolio optimization and strategy research . Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID ... Citigroup Global Markets Inc. seeks a Quantitative Analyst for its New York, New York...Provide desk support for fixed income trading desks including treasury , treasury future, swap, swaption, inflation products… more
- Citigroup (New York, NY)
- …(ie Math, Physics, Statistics) + 5-8 years of experience in an analytics/ quantitative research roles in a financial institution, model development experience ... stress testing models, with active engagement of key internal stakeholders in Credit Risk, Market Risk, Country Risk, Treasury , Finance and Business.… more
- Office of the Comptroller of the Currency (Boston, MA)
- …Responsibilities Economists in the Compliance Risk Analysis Division (CRAD) will conduct quantitative analysis and research to support bank supervision and to ... research involving the application of economic, financial, or quantitative theories, principles or methods (eg dissertation, Working Papers, or publications).… more
- Office of the Comptroller of the Currency (Washington, DC)
- …segments involving the application of internal economic analysis and research , mathematical principles, methods, or procedures, and/or statistical theories and ... programming, codes and/or computational methods in support of division research projects, examinations, and other relevant empirical, technical, computational, or… more
- US Mint (Denver, CO)
- …and coordinate procurement staff daily tasks, including contract documents for research and administration for supply, and service and construction agreements ... verify this experience in your resume in order for you to receive credit . Individual Occupational Requirements: Basic Requirements for GS-13 and Above: A. Completion… more
- MassMutual (Boston, MA)
- …Rate, Credit , or FX derivative management. **The Team:** The ** Quantitative Portfolio Management (QPM)** team has primary focus in asset-liability management ... **Role:** Associate Derivative Portfolio Manager **Department:** Investment Management **Team:** Quantitative Portfolio Management **Location:** Boston - Hybrid **Position:** Full-Time… more
- The Hartford (Hartford, CT)
- …the future. The Risk Manager, Market Risk, will join a talented and high-performing Credit and Market Risk team that oversees credit and market risks across ... Company (HIMCO) subsidiary. They will ensure that The Hartford's exposure to credit , equity, interest rate, and foreign exchange risks remain within the established… more
- M&T Bank (Buffalo, NY)
- …primarily related to capital planning and resolution planning (eg PPNR, P&L, credit losses, balance-sheet, RWAs) to provide an understanding of key drivers and ... to inform decision-making. + Build quantitative tools to support effective challenge of capital planning,...capital policy, and resolution plan pro-forma financials. + Conduct research and analyses of industry and peer bank data;… more
- MassMutual (Boston, MA)
- **Role:** Equity Derivative Portfolio Manager **Team:** Quantitative Portfolio Management **Department:** Investment Management **Employment Type:** Full-Time ... tradeoffs, but also leading simulation and back testing projects to research alternative hedging strategies. The Equity Derivative Portfolio Manager will work… more
- CIBC (Austin, TX)
- …new innovation concepts for experimentation. **Cross-Functional Relationships** + Partners with credit solutions, risk, treasury management, capital markets and ... time to get to know each business. They leverage CIBC's experience to structure credit and banking solutions to meet the unique needs of technology companies at all… more
- JPMorgan Chase (New York, NY)
- …measures and implement best practice methodologies + Partner with different risk teams, quantitative research , and the model governance group on issues regarding ... offers opportunities for significant visibility to senior management. Chief Investment Office, Treasury and Corporate (CTC) Risk manages the risk of the retained… more
- Army National Guard Units (Springfield, IL)
- …fiscal laws and regulations to determine appropriate action for resolution. Perform research regarding many different and unrelated processes and methods relating to ... incomplete files and devise more efficient methods for procedural processing. Research , interpret, analyze, and apply regulations, policies, procedures and legal… more
- Capital One (Mclean, VA)
- …of America, McLean, Virginia Senior Analyst - Capital Markets and Analytics The Treasury Asset and Liability Management Strategy (ALMS) team is hiring a Senior ... Associate to execute and research derivative hedging strategies, help manage Foreign Exchange and...market risk drivers + Assist in the development of quantitative and empirically supported "through the cycle" risk targets… more