Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate... controls to mitigate risks effectively. In treasury risk management at PwC, you will focus on assessing and mitigating...
looking for a stellar candidate to join our NYC-based team. The Counterparty Risk Associate will help shape Stripe's risk management... Further build out our financial risk governance framework, including board, management and team level key risk indicators...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate... Job Description & Summary A career in our Balance Sheet Management practice, within Financial Risk and Regulatory services, will provide...
to each team or employee). The Impact you will have in this role: Being a member of the Quantitative Risk Management (QRM...) team, the Quantitative Risk Associate Director is responsible for the development and support of models and methodologies...
date 06/01/2025 Management position No Job summary Summary Serve as Risk Monitoring & Reporting Associate to the Head... - Securitization Risk Monitoring and Reporting Associate Contract type Fixed-Term Contract Term (in months) 24 Expected start...
Summary Serve as Risk Monitoring & Reporting Associate to the Head of Projects, Risk Monitoring & Reporting. The team..., Risk Monitoring & Reporting 4. Counterparties and clients Securitization teams and senior management in the...
to each team or employee). The Impact you will have in this role: Model Risk Management, MRM is responsible for overseeing... enterprise-wide model risk management and supporting front-line units in managing model risk. MRM provides oversight of day...
to each team or employee). The Impact you will have in this role: Quantitative Risk Management, QRM is responsible for the... and other analytical support to firms' risk management and other business needs. Quantitative Risk Management (QRM) is responsible for the...
, credit, operational, model, and liquidity risk throughout the firm as well as enterprise wide stress testing. Market Risk... is a department within the Risk Division which facilitates effective deployment of risk appetite, prudent risk management...
under delegated authority from the Board and senior management to manage these risks within defined risk tolerances, as approved... by the Board and senior management. FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit...
under delegated authority from the Board and senior management to manage these risks within defined risk tolerances, as approved... by the Board and senior management. FR&G collaborates closely with Quantitative Risk Management and the Counterparty Credit...
to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management... Within Aflac's Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department...
to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management... Within Aflac’s Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department...
and demonstrated expertise in the management of specific asset classes. We are seeking an Investment Senior Associate... investment and market risk limits, income volatility, tax realization, liquidity and capital usage. Collaborate with the...
provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world.... which support managing business activities to align with Treasury strategies across funding, capital and liquidity...
Industry/Sector Banking and Capital Markets Specialism Financial Risk Management Level Senior Associate... performance and risk management across financial risks, including liquidity risk, market risk, counterparty credit risk...
, portfolio construction, risk management, and liquidity solutions to investors, drawing on Goldman Sachs' market insights... for portfolio implementation, liquidity risk management, portfolio construction and monitoring, external manager on-boarding...
. Position Sizing & Risk Management: Assist in position sizing and monitoring risk exposures, including interest rate risk...Job Description: Asset & Wealth Management Overview A career with Goldman Sachs Asset & Wealth Management...
with owners, management, and other stakeholders to preserve value. The Senior Associate will work to address distressed... to BXCI senior management on key financial metrics, operational milestones, and risk factors Qualifications: Blackstone...
Job Description: Asset & Wealth Management Overview A career with Goldman Sachs Asset & Wealth Management... relationships with your clients. Fixed Income & Liquidity Solutions Overview Fixed Income and Liquidity Solutions, within Public...