Ownership of functional design of market risk applications. Adhere to risk mitigation plan defined by corporate audit. ...
Job Title: Market Risk Business Analyst. MARKET RISK background (Equities, Bonds, Front office, Federal Reserve Rates). ...
The Risk Analyst will report to the Senior Director of Risk Management, who is responsible for global Risk Management. Participating in risk analysis studies and the development and execution of risk management processes. Partner with insurance brokers, third party administrators, and finance leader...
Unsolicited resumes sent to Verisk, including unsolicited resumes sent to a Verisk business mailing address, fax machine or email address, or directly to Verisk employees, will be considered Verisk property. As a member of Verisk’s Casualty Analytics Team, you will serve an important role in s...
A risk management firm, providing risk management services for retail brokers, covering risk across asset classes including Foreign Currencies, Commodities, CFDs and Cryptos. An opportunity has developed for a Trading Analyst (Fully remote position). The Analyst will assist the Head of Trading with ...
In conjunction with the Director Credit Risk Review, prepares board level credit risk management reports, including, but not limited to concentration, policy exception, and stress testing. Identifies and reports on trends and risks within the Bank’s loan portfolio. Assists in the preparation o...
Banking experience in credit risk and portfolio risk management. This position reports to the Credit Risk Analytics Manager (“CRAM”). The candidate will be primarily responsible for i) preparing the Bank’s Allowance for Credit Losses (“ACL”) under for Current Expected Credit Loss (“CECL”) standard a...
Using Factor Analysis of Information Risk (FAIR) methodology, analyze technology risk scenarios modeling impact and likelihood of cyber risk events. We are actively hiring for a Cyber Risk Analyst - Remote! Join us and support CSAA IG in achieving our goals. Performs more complex work supporting imp...
Partner with Global Markets Financial Risk (GMFR), Global Risk Analytics (GRA) and Model Risk Management (MRM) for business requirements. Strong Market Risk, Risk, or Front Office experience. Ownership of functional design of market risk applications. Adhere to risk mitigation plan defined by corpor...
Job Description: Underwriting at Cigna: If you're looking to use strong analytical, risk management, and portfolio management skills in a competitive, fast-paced environment, an Underwriting career at Cigna will allow you to do all this and more. Underwriters evaluate the risk of insuring a pot...
This is an opportunity for an Quantitative Analyst within our clients Global Risk Analytics (GRA) function. The role will offer the candidate an opportunity to specialize in market risk modelling in one or more asset classes and at the same time be part of a strategic effort to design the next gener...
Portfolio Risk Surveillance Analyst. The Portfolio Risk Surveillance Analyst role is a member of the Investment Guidelines Team which is embedded directly in the PGIM Fixed Income business and interacts with Trading, Client Services, and Operations daily. Understanding of key business risks, marketp...
The individual may work in a variety of concentrations, which include and are not limited to enterprise risk; corporate governance; compliance risk; regulatory and operational risk; information and security risk; technology risk; market and credit risk; financial; and strategic risk. The Risk Analys...
Compliance Risk Management (“CRM”) Overview. Risk-based assessment and testing across the 40+ BX registered investment advisers and 300+ BX managed private and public investment funds. Assessments of risks and controls related to firmwide regulatory compliance matters. ...
As a Senior Litigation Adjuster in Risk Management, you will be responsible for managing litigation against CVS and overseeing outside counsel and national coordinating counsel defending CVS in general pharmacy, healthcare and premises lawsuits filed throughout the United States. ...
Vornado’s Risk Management group is seeking a Risk Analyst to work in the Paramus location. The Risk Analyst will manage the financial documentation for the risk management function, including tracking insurance premiums, carrier / broker ratings and relationships and all related expenses / cost allo...
Deep understanding of Capital Markets with focus on Credit Risk, Market Risk or Capital calculations. ...
FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit Risk teams to maintain an integrated and comprehensive approach to financial risk management at DTCC to support an effective second line of defense. Being a member of the Liquidity Risk & Stress Testing team, the...
Experience in Market Risk, Credit Risk, Ops risk, Basel 3, CCAR etc. Preferred Qualifications:• Atleast 8 years of experience in Market Risk, Credit Risk, Ops risk, Basel 3, CCAR etc. Job description Infosys is seeking a Risk and compliance Business Analyst in Financial services Domain. As a Consult...
Under the general direction of the Operational Risk Management Manager, the Vendor Risk Analyst will oversee administration of the Bank’s enterprise-wide efforts in monitoring vendor risk and providing assurance that the Bank is proactively addressing vendor risk issues. Under the general direction ...
Risk expertise with operational risk, RCSA background. Perform RCSA activities (risk and controls mapping, controls assessments, issues, process maps, final assessment, validation, gaps identification and it mitigation). ...
As a Lead Solutions Analyst in Liquidity Risk, you will play a central role in driving the success of our technical program delivery. ...
As a member of Verisk’s Casualty Analytics Team, you will serve an important role in supporting our US- and Bermuda-based clients. ...
In conjunction with the Director Credit Risk Review, prepares board level credit risk management reports, including, but not limited to concentration, policy exception, and stress testing. Identifies and reports on trends and risks within the Bank’s loan portfolio. Assists in the preparation of Boar...
Present to senior management, Model Risk Committee and Credit and Collateral Risk Committee. Prepare and present materials outside of routinely scheduled Credit& Collateral Risk Committee and Model Risk Committee items. Provide Collateral Risk Related Guidance:. May have occasional oversight of Coll...