- 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
- 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
- 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
- Customs and Border Protection (Washington, DC)
- …transnational crime. In this position you will perform a wide range of operations research and analytical activities in support of the Office of Trade. This position ... 1) to $153,354.00 (GS-13, Step 10). Applying advanced concepts of operations research , statistics, and scientific methods and techniques in identifying and solving a… more
- Regions Bank (Birmingham, AL)
- …the Credit Portfolio Management (CPM) Analyst will focus on topical research leveraging quantitative and qualitative methods to assess portfolio performance ... **Requirements** + Bachelor's degree + Five (5) years of credit / market research , advanced analytics or ...Public Accountant, Financial Risk Manager) + Advanced understanding of quantitative measures of credit performance (eg, Probability… more
- Western Union (Denver, CO)
- …banks (primary banking relationships that provide over a $1 billion in credit support) + Conduct Treasury related due diligence for potential ... Western Union personnel both in the US and internationally to ensure that Treasury 's strategy is meeting the company's objectives and is aligned with the long-term… 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
- 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
- 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
- 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
- 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 ... decisions and offers significant visibility to senior management. Chief Investment Office, Treasury and Corporate (CTC) Risk manages the risk of the retained… more
- Morgan Stanley (New York, NY)
- …E-Rates Division is a market leader in making electronic markets in US Treasury Bonds. *Primary Responsibilities* * ** Research , development, and deployment of ... collaboration with trading desk to discuss new trading ideas (including alpha research ) and modelling. * Strong Quantitative development skills, especially in… more
- BMO Financial Group (New York, NY)
- …a leading, full-service financial services provider. We offer corporate and investment banking, treasury management, as well as research and advisory services to ... markets across asset classes including: debt, foreign exchange, interest rate, credit , equity, securitization, and commodities. Provides competitive pricing to all… 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
- Citigroup (Tampa, FL)
- …and mitigation of risk for capital, liquidity, interest rate risk and treasury investments, and ensures compliance with all risk-related regulatory requirements. In ... key risk management methodologies and calculations, including CECL and IFRS9 for credit reserves, and Basel Advanced RWA. Within FinCRO, Regulatory Capital Risk… more