date 06/01/2025 Management position No Job summary Summary Serve as Risk Monitoring & Reporting Associate to the Head...Crédit Agricole CIB is the corporate and investment banking arm of Crédit Agricole Group, the 10th largest banking...
/2025 Job description Business type Types of Jobs - Finance / Accounting Job title US Analyst - Third Party Risk.... Key Responsibilities Actively participate in all aspects of the Third Party Risk Management (“TPRM”) department and the...
risks such as credit, liquidity, interest rate risk, market risk, and capital management, as well as technology (e.g., IT... and reputational risks, including credit risk, liquidity, interest rate risk, capital management, and market risk. Support the...
risks such as credit, liquidity, interest rate risk, market risk, and capital management, as well as technology (e.g., IT... and reputational risks, including credit risk, liquidity, interest rate risk, capital management, and market risk. Support the...
to policy and have been uploaded into the TPRM tool. Assists with the Third Party Risk Management Steering Committee... with the manager of the Third Party Risk Management team to help build out the quality assurance function within the department...
gathering, and executing risk and credit procedures. Evaluates potential losses while developing high-impact solutions... to management and other associates, including production of documentation, presentations, or other materials to educate on risk...
Must Live Near New York Position is Hybrid 3-6 Month Contract The Bank Model Risk Analyst will apply financial models... and ensuring capital adequacy. Model Risk Management: They participate in the entire lifecycle of models, from development...
Must Live Near New York Position is Hybrid 3-6 Month Contract The Bank Model Risk Analyst will apply financial models... and ensuring capital adequacy. Model Risk Management: They participate in the entire lifecycle of models, from development...
Within Aflac's Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department... business partners and key stakeholders Job Title: Associate, Quantitative Risk Analyst Principal Duties & Responsibilities...
Within Aflac’s Global Investments (GI), the Associate, Quantitative Risk Analyst is part of the GI Investment Risk department... business partners and key stakeholders Job Title: Associate, Quantitative Risk Analyst Principal Duties & Responsibilities...
Grow your career as a Lead Data Risk Analyst with an innovative global bank in New York, NY. Contract role.... Understanding of credit Risk and or counterparty Risk. Strong business analysis with success in shaping opportunities via...
offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group... of benefits to its employees. Role Description The Analyst will work with senior trading assistant focusing on new initiatives...
will provide more details. Job Summary: This is a quantitative risk analyst role within the MUFG Americas’ Market... risk management framework (model documentation, performance monitoring, model enhancements, etc.) Support regulatory...
and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products... in risk management, compliance, operations, or audit Bachelor's degree in Finance, Business, or related field...
and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products... in risk management, compliance, operations, or audit Bachelor’s degree in Finance, Business, or related field...
, 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 that facilitates effective deployment of risk appetite, prudent risk management...
Working as a member of Aflac Global Investments (GI) and the Global Investments Risk Management (GIRM) team, participate... in the delivery of second line risk management and associated analytics for investment and investment related activities...
Working as a member of Aflac Global Investments (GI) and the Global Investments Risk Management (GIRM) team, participate... in the delivery of second line risk management and associated analytics for investment and investment related activities...
arrangements to help ensure that all counterparty arrangements are viable and properly collateralized from a credit risk management... to better understand emerging risk trends. Role Objectives: Expertise Demonstrate a basic knowledge of credit markets and counterparty...
and the world. Global Banking & Markets provides a full range of investment banking, credit and risk management products... businesses and the three lines of defense, including First Line (FLSS), Second Line (Operational Risk Management), and Internal...