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Job summary: Financial Institutions routinely use models for a broad range of activities including credit underwriting, valuing financial instruments, measuring and managing risk, assessing the adequacy of reserves and capital resources,...
Job Description Chief Investment Office ("CIO") is seeking a summer intern. CIO's muni team manages the firm's municipal bond portfolio. The position is located in New York, NY. The Role The candidate's responsibilities will grow...
Group Description Market Risk is an independent risk group within Corporate Risk Management, which identifies, measures, monitors and controls market risk. Market risk management seeks to facilitate efficient risk/return decisions, reduce...
Job Description: Role responsible for overseeing all aspects of financial reporting, analysis and oversight of the Americas Funds Management business. In depth understanding of investment products and distribution of such products is...
Job Description Overview The Global Investment Product & Platform Management Group works in conjunction with the Asset Class Leaders Business Management, Legal, Compliance, and Risk to develop and deliver products and processes for use in...
Primary Function Provides support to Investors in all facets. The Investor is responsible for helping the Banker win new clients, as well as deepen and strengthen existing client relationships through advising on investment solutions.
The Valuation Control Group (VCG) is an independent function within the firm's group finance area, whose primary responsibility is to ensure that risk portfolios across the organisation are fairly valued. The group additionally sets...
Job Description Support critical new functionalities for the Portfolio Risk Management Services application related to risk-based cross product margining, regulatory requirements and client demand for OTC clearing of derivative trades.