EisnerAmper is seeking a Consulting Internal Audit Manager to join our Risk & Compliance Services practice. Oversee internal audit and risk management engagements within the Risk and Compliance Services practice. Prepare scoping and risk assessments or Internal Audit universe using a risk base metho...
Leadership role within GRM Provide Operational Risks teams, Investment Risks Analysts and relevant SERMs with high-level insight on key risk areas, mitigation plans, methodologies and frameworks in relation to the scope of assets under oversight by the CRO Drive risk teams' analysis in coordination ...
Enterprise Risk or Credit Risk experience. Key responsibilities include driving risk-based auditing by defining scope and test procedures to evaluate the control environment in conformance with audit policies, assessing issues for business impact and recommending severity ratings, drafting audit rep...
The Risk Manager, TAA will provide Business Continuity (BC) , Incident Management (IM) strategic and operational support and thought leadership for the Tax and Accounting (TAA) divisional and business unit executives. Experience applying Enterprise Risk Management standards, Risk Assessment Framewor...
A growing player in the insurance industry is searching for an Investment Risk Manager with 5+ years of experience to analyze, model, and monitor the risk-return profile of their alternative asset class portfolio. In this role, you will develop investment risk metrics/reports and communicate results...
The Manager, Risk Management, will assist the Vice President (VP) and Director in all phases of Risk Management including supervision of Risk Associates, litigation and claims evaluation, medical record review, preparation of summary reports and participation in Root Cause Analysis Teams related to ...
You’ll provide advice covering solvency, economic capital, risk management, mergers and acquisitions, company restructuring and risk control, financial modelling, underwriting, new legislation, and the efficiency of claims or reporting processes. SummaryA career in our Risk Modeling Services practic...
Audit or risk control risk/controls background in financial services. Key responsibilities include driving risk-based auditing by defining scope and test procedures to evaluate the control environment in conformance with audit policies, assessing issues for business impact and recommending severity ...
A new exciting role in the BHI Financial Crime Risk Management (“FCRM”) team has been created for a Financial Crime Risk Management Assurance Manager. The primary role of the Financial Crime Risk Management Assurance Manager is to deliver on the FCRM assurance strategy, in particular implementing a ...
The Information Security Manager will report to the Senior Manager of Governance Program and Strategy. Information Security Manager will be responsible for development and implementation of information security policies, standards, procedures. Ensures alignment across stakeholder groups for policies...
Risk Finance – Manager/Senior Manager. Manager-level Risk consultants work closely with management of Fortune 500, mid-cap and start-up companies, as well as all levels of our staff from Consultant to Partner. Assist in preparing risk assessments and audit plans for clients. Drafting or reviewing en...
The Senior Underwriting Risk Manager will be responsible primarily for managing the underwriting risks associated with the Cyber but also for the wider Professional Lines portfolio of AXA XL. Senior Underwriting Risk Manager – Cyber. AXA XL’s Risk Management Function defines processes, rules and gov...
Senior Market Risk Manager for the Grains & Oilseeds activities. Analyzing positions, extracting all underlying strategies and their risk from all possible aspects (not just VaR), including ad-hoc stress tests and being able to discuss them with the commercial team as well as with management, po...
Minimum 5 years of experience as an insurance analyst, underwriter, or account manager covering corporate and financial risk coverage, preferably in the energy sector. Assess financial risk and balance sheet exposure of Company’s business units to support CCI’s capital planning strategy, and partici...
You’ll provide advice covering solvency, economic capital, risk management, mergers and acquisitions, company restructuring and risk control, financial modelling, underwriting, new legislation, and the efficiency of claims or reporting processes. SummaryA career in our Risk Modeling Services practic...
Leading investment manager, is looking to add an Insurance Risk Manager, to support portfolio of insurance coverage and brokers. Evaluate risk and balance sheet exposure for capital planning strategy, and participate in new business reviews. ...
Regional Heads of Risk are independent risk management experts within the independent Global Risk Management (GRM) team, specialised by investment platform and by regional regulatory environment, with a broad mandate to provide an independent oversight of all key risks in each investment platform an...
Coordinates operational risk management in relation to the Americas business, including periodic risk assessments, risk heat maps and controls plans; incident escalation and resolution; internal and external audit matters, review of critical business processes; and business continuity. Reports perio...
Financial Services Risk Management Manager. Learn how to identify, evaluate, and prioritize business, operational, regulatory, and technology risks as well as risk mitigation strategies for our clients. Our cross-functional Financial Services industry group comprises more than 2,500 partners, manage...
Risk Finance – Manager/Senior Manager. Manager-level Risk consultants work closely with management of Fortune 500, mid-cap and start-up companies, as well as all levels of our staff from Consultant to Partner. Assist in preparing risk assessments and audit plans for clients. Drafting or reviewing en...
Deloitte Risk and Financial Advisory's Financial Services Industry (FSI) Risk, Data and Regulatory professionals help organizations identify the regulatory changes impacting their business and implement effective and efficient processes to manage regulatory, capital, liquidity and interest rate risk...