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). ...
We are currently implementing an integrated risk management (IRM) and business continuity management (BCM) modules from ServiceNow which lends us to have an exciting opportunity for an consultant to augment our global ERM operational team. Assist with the department’s implementation of a new Integra...
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...
Rutgers, The State University of New Jersey, is seeking a Information Security Analyst for the Office of Information Technology (OIT). Provides risk remediation recommendations to mitigate identified control gaps and drives awareness of available supporting resources and technologies. Works closely ...
The Senior Risk analyst supports Bank responses to audit, model risk management and regulatory examinations and for all Credit Risk Stress Testing Activities and coordinates these activities with the Senior Director - Risk Analytics, the as well as the heads of Model Development, Model Implementatio...
Additionally, you will support the creation of risk reports and the production of the IT Risk Profile used to educate executives, senior management, and key stakeholders on key Cyber & Technology risks. Critical Thinking Problem Solving (Inactive), Cyber Security Management, Information Security Man...
Qualifications Required Bachelor's Degree and 2 years of experience in operational, strategic and reputational risk management at a leading financial institution OR High School Diploma or GED and 6 years of experience in operational, strategice and reputational risk management at a leading financial...
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...
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...
Risk and Research Analyst Intern (3 Months with Full-Time Potential). Support System risk monitoring and management efforts, and participate in the development, production, delivery, and maintenance of research products and services. ...
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. ...
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...
Bachelor's Degree and 1 years of experience in Risk Analytics or Analytics OR High School Diploma or GED and 5 years of experience in Risk Analytics or Analytics. Maintains an understanding of loss modeling techniquesmonly used in CECL and Credit Risk Stress Testing/CCAR and ratings score carding pr...
Risk Management Analyst needs risk management techniques and practices, including a working knowledge of Risk Control Frameworks. Risk Management Analyst requires:. Knowledge of regulatory guidance pertaining to enterprise risk and operational risk (e. Enterprise risk and/or operational risk experie...
Junior Fraud-Credit Risk Analyst. What does a great Junior Fraud/Risk Analyst do at Fiserv?. You will work to identify and eliminate fraud and credit losses to Fiserv and our clients, reviewing a high volume of risk alerts to identify potentially high risk/suspicious merchant processing activity to ...
Reporting to the Chief Risk Officer of PGIM Portfolio Advisory (PPA), we are seeking a highly skilled and experienced Quantitative Risk Analyst to join our dynamic PPA team. The successful candidate will play a crucial role in developing risk management frameworks that involve asset allocation, hedg...
Responsible for maintaining a robust control environment and strong risk management culture by monitoring, assessing, and reporting operational risks and controls across Business & Client Services (BCS) functions to ensure appropriate oversight and alignment with broader Capital Markets (CM) initiat...
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...
Issue Identification, Management, and Risk Assessment – Conduct RCSA responsibilities including Process Mapping, Risk & Control Matrices, Inherent Risk Assessments, Internal Control testing. Analyst, Business Control & Risk Management, Florham Park, NJSr. Analyst, Business Control & Risk Management,...
The Senior Risk analyst supports Bank responses to audit, model risk management and regulatory examinations and for all assigned Portfolio Analysis activities and coordinates these activities with the Manager- Portfolio Analysis, and Senior Director - Risk Analytics. The Senior Risk analyst supports...
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...