. Participate in management discussions on credit risk and external economic and regulatory factors. Ensure compliance with federal...Why join this team Perform independent written credit and investment analysis primarily for UNFCU’s municipal...
Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term..., opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information...
, infrastructure debt, collateralized loan obligations, direct lending and opportunistic credit. We seek to generate attractive risk...Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term...
obligations, direct lending and opportunistic credit. We seek to generate attractive risk-adjusted returns for institutional...Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term...
with colleagues as part of Investment Risk team. Formal Credit training from a Leading Asset Manager / Investment Bank... of market, counterparty, and liquidity risk on behalf of Invesco’s clients. Key Responsibilities / Duties: In conjunction...
. About the job: The Risk Department monitors exposure of BBVA NY and BBVA Securities to market and counterparty credit risk... and regulators; participate in the model validation process, assist with implementation of new projects. The Market Risk Manager...
/annual client credit due diligence reviews (including portfolio decompositions & client commentary) Credit and Market Risk...: Assist with control identification, critical process identification, and operational resilience exercises Liquidity Risk...
. Communication and organization skills will be essential. Reports to Vice President, Investment Risk Manager Primary Support... analyses of financial impacts due to exposures in market risk, credit risk, asset/liability risk and / or operational risk...
. Communication and organization skills will be essential. Reports to Vice President, Investment Risk Manager Primary Support... analyses of financial impacts due to exposures in market risk, credit risk, asset/liability risk and / or operational risk...
our franchise to new heights. As a Latin America Investment Banking Coverage Business Manager - Executive Director within our team...), including tailored competitor analysis for each product and ensuring consistency between internally earned fees and credit given...
companies meet their business needs through expertise in capital markets, credit, payables and receivables, liquidity... relationships and credibility with internal stakeholders (portfolio management/credit risk management/product partners...
Job Description: Division Manager, East Region - Managing Director, Community Development Banking JPMorganChase... and complexity, including acquisition loans, bridge loans, construction financing, letters of credit to support bond transactions...
models related to one or more of the following strongly preferred: market, credit, operational, liquidity risk capital, ERM... quantitative needs. We are seeking an experienced Quantitative Solutions Manager, who will lead and manage quantitative focused...
Manager, Credit, Insurance, or related client segments. Familiarity with thought leadership initiatives and client-specific... us with their business in more than 100 countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk...
/portfolio manager in structured credit and/or private debt asset classes as well as previous banking or institutional asset... to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management...
/portfolio manager in structured credit and/or private debt asset classes as well as previous banking or institutional asset... to our asset-liability profile and liquidity and capital requirements. GI has primary investment and asset management...
risk from interest rate fluctuations, liquidity constraints, and other market variables. Reporting to the Chief Investment...: Develop and execute risk management strategies across rates, currencies, credit, and other risks to optimize risk-adjusted...
prior to launch to accurately assess syndication risk for credit. Prepare and present syndications materials... Be prepared to opine on liquidity/salability of transactions, underwriting risks, etc. in credit committee. Build and maintain...
, and Credit Risk Management as appropriate to facilitate cross selling and risk mitigation How You’ll Lead Succinctly...Job Description: Job Title Institutional Cash Trade- Sales Manager, North Americas Corporate Title Vice President...
with stakeholders from actuarial, finance, treasury, investments, risk management or legal to support ALM, liquidity, stress-testing... your potential? The Derivatives and Hedging team manages a $100bn multi-asset derivatives portfolio (equity, rates, and credit...