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Summary: Major investment bank is looking for a Director for their Risk management group. This person will be responsible for coordinating the risk management practices under one methodology. The role will be responsible for implementing a...
In connection with its being potentially subjected to additional federal oversight, FIRM is seeking candidates for opportunities in its Regulatory Reporting unit. This position is part of the External Reporting group within FIRMs...
exposures to assigned names and their subsidiaries/associates. Monitoring of annual and quarterly financial ... Evaluation and proactive management of credit exposures to assigned names and their subsidiaries/associates; Monitorin...
Professional identifies, assesses,models,measures and manages financial risks (market, credit, counterparty,liquidity, investment compliance, asset pricing,analysis and performance attribution) and identification of operational risks for...
The Credit Risk Analyst/ Statistician role works directly with Senior Management there is an immense growth opportunity. Responsible for developing, validating and implementing counterparty PD, EAD, LGD models across credit portfolio of...
The firm is engaged in business in credit derivatives, emerging market and emerging market derivatives, mortgage, BSM, equity derivatives, fixed-income and interest rate derivatives, FX, and commodities etc. Extensive risk models have been...
broker-dealers, mortgage originators, servicers, housing associates, etc. Perform detailed analyses and formulate recommendations with little or some guidance. Give presentations and recommendations to Credit Risk Committee ("CRC"). 2.
Professional identifies, assesses,models,measures and manages financial risks (market, credit, counterparty,liquidity, investment compliance, asset pricing,analysis and performance attribution) and identification of operational risks for...
The firm is engaged in business in credit derivatives, emerging market and emerging market derivatives, mortgage, BSM, equity derivatives, fixed-income and interest rate derivatives, FX, and commodities etc. Extensive risk models have been...
exposures to assigned names and their subsidiaries/associates. Monitoring of annual and quarterly financial ... to assigned names and their subsidiaries/associates;Monitoring of annual and quarterly financial performance...
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