A company is looking for a Senior Analyst in Enterprise Risk Management. ...
As a Asset Management - Investment Risk Alternatives Analyst in the Alternatives team, you'll provide proactive management of investment, liquidity and counterparty risk based on ongoing, informed, and educated market observations with a focus on Private Equity within the Alternatives business. You ...
Key Responsibilities:Own compliance lifecycle for a Cloud Service based on government requirements for FedRAMP and/or DoD Cloud SRGCreate and maintain system documentation including System Security Plans and attachmentsPerform continuous monitoring activities for assigned systems and coordinate with...
SGA), is searching for a Cyber/Risk Remediation Analyst for a CONTRACT assignment with one of our premier Financial Services clients in lower Manhattan, NYC. Develop and implement strategies for Application management includes Applica...
To conduct credit risk evaluations and make recommendations in conformance with Bank’s risk appetite and policies. To update Credit Risk Policies and Procedures to reflect changes in internal and regulatory guidelines. To conduct relevant industry and product research for presentation to management....
US Analyst - Liquidity Risk Management. Market Risk team: work closely with the product control and the risk management team on topics related to liquidity (booking in FO systems, large transactions, pricing of new deals etc. Types of Jobs - Risk Management / Control. The candidate will also conduct...
The core service offerings include: Compliance & Security Risk Management, Controls & Compliance Framework, Security Compliance Policies, Charters, & Protocols, Vendor Program & Third-Party Risk Management, Governance, Risk, & Compliance (GRC) Platform, and Security & Complia...
The ERM Risk Analyst within the Office of Enterprise Risk Management supports all aspects of the enterprise-wide risk management program. This role may also act as a consultative resource to the first and second lines of defense, put together risk presentations or informational reports for business ...
The Third Party Risk Management Analyst supports the Third Party Risk Management Team in the development and execution of the Bank’s Enterprise Third Party Risk Management Program to measure, monitor, assess and report on the control of third-party vendor risk throughout the enterprise. The Th...
The role of the Analyst of Risk Management will contribute significantly to our risk management efforts by identifying, quantifying, and mitigating potential risks that could impact our portfolio. Design and implement innovative quantitative strategies, models, and policies for market risk managemen...
The Chief Investment Office, Treasury and Corporate (CTC) Risk Team is an independent risk function that manages the risk of the retained portfolio generated from the CTC businesses and includes Market Risk, Credit Risk, Reputational Risk, Country Risk, Principal Risk, and Model Risk. CTC Risk is al...
Coordinate and work with Head Office Global Risk Management, when necessary, in matters related to the presentation of the global view of credit risk related to the portfolios. Credit Risk Management related to broader strategic initiatives and the development of portfolio management and reporting c...
The ERM Risk Analyst within the Office of Enterprise Risk Management supports all aspects of the enterprise-wide risk management program. This role may also act as a consultative resource to the first and second lines of defense, put together risk presentations or informational reports for business ...
The Data Risk Management Team within the Technology Risk & Information Security (TRIS) organization is critical to the elevation of technology and data risk by embedding and centralizing Technical & Business Data Architecture into core data life cycle activities, expand Data Governance Operating Mod...
Market Risk team: work closely with the product control and the risk management team on topics related to liquidity (booking in FO systems, large transactions, pricing of new deals etc. The candidate will also conduct specific analyzes on the liquidity situation of the Bank as needed and will work o...
With over 350 professionals across 11 offices around the world, XIG provides manager diligence, portfolio construction, risk management, and liquidity solutions to investors, drawing on Goldman Sachs’ market insights and risk management expertise. Asset Management, Investment Banking, Consulting, or...
US Analyst - Liquidity Risk Management. Market Risk team: work closely with the product control and the risk management team on topics related to liquidity (booking in FO systems, large transactions, pricing of new deals etc. Types of Jobs - Risk Management / Control. The candidate will also conduct...
The role of the Investment Risk – Senior Risk Analyst focuses on the assessment, control, and governance of investment risks taken within commingled investment vehicles (funds and ETFs) and separately managed accounts. Minimum of 2 years of proven experience in financial industry (Risk Management, P...
Oaktree’s Portfolio Construction and Risk Management team is looking for a Portfolio Analyst to support our High Yield, Leverage Loan, and other investment teams. Asset Management company, Investment Bank or other related financial services company (including financial services technology vendors) i...
Support the management of all risk management functions including manage the risk management calendar, scheduling of meetings, staff on and off-boarding as well as staff training needs. Monitor compliance with risk management frameworks and policies as they relate to the requirements of the risk man...
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. Excellent organizat...
Risk Management (Market or Credit Risk), Portfolio Management, or Trading, with an emphasis within the Credit and/or Securitized Products sectors. In this role, the Analyst/Associate will have the unique opportunity to gain experience across risk disciplines and financial products, develop new analy...
Experience working in an Enterprise Data Management Program as well as a sound understanding of metadata management, data quality concepts and familiarity with regulatory requirements of the financial services industry. A very high profile but mid-sized Asset Management firm seeks. An...
Vendor Risk Management Analyst. This role will support the Director of TPRM, as well as the Chief Risk Officer (CRO) and Deputy Chief Risk Officer (DCRO), and interface with Business Process Owners (BPOs) throughout all lines of business and other Risk colleagues within the Bank. In this position yo...
Monitor market risks through the review of portfolio risk sensitivities, Value-at-risk (VaR) and stress scenario analysis, in-depth risk analysis of specific products or strategies, and limit monitoring. Support projects involving your coverage area, such as developing new market risk monitoring too...