The Senior Project Manager will be responsible for leading and managing the full lifecycle of bridge bearing, expansion joint, and seismic solution projects.With a focus on delivery, quality, and clie...
read moreThe Senior Project Manager will be responsible for leading and managing the full lifecycle of bridge bearing, expansion joint, and seismic solution projects.With a focus on delivery, quality, and clie...
read moreLeverages a risk-based approach to ensure appropriate security principles and controls are applied during the system development life cycle and protect customer and corporate assets in line with the B...
read moreKnowledge of organization's risk tolerance and/or risk management approach. Understand and adhere to the Company's risk and regulatory standards, policies and controls in accordance with the Company's...
read moreBuffalo NYLocal onlygas and utility Int’l GiantFortune 100 Job description is below.Please note that to hit the top of that pay range they would need to be a very seasoned IT Project Manager.Our sweet...
read moreBuffalo NYLocal onlygas and utility Int’l GiantFortune 100 Job description is below.Please note that to hit the top of that pay range they would need to be a very seasoned IT Project Manager.Our sweet...
read moreThe CCR Product Development team within EDO is responsible for building tools to a) provide in-depth quantitative or qualitative analysis to solve business problems and develop new, innovative solutio...
read moreThe CCR Product Development team within EDO is responsible for building tools to a) provide in-depth quantitative or qualitative analysis to solve business problems and develop new, innovative solutio...
read moreBasic understanding of Counterparty Credit Risk topics and investment product risk concepts, such as portfolio risk, stress testing, Greeks/sensitivities, bond pricing, derivatives. Within ICM Counter...
read moreBasic understanding of Counterparty Credit Risk topics and investment product risk concepts, such as portfolio risk, stress testing, Greeks/sensitivities, bond pricing, derivatives. The Funds UW Analy...
read moreThe Risk Summer Analyst program will provide a fundamental understanding of risk management, risk governance and risk best practices. The program assigns interns to teams across the risk organization,...
read moreThe Risk Summer Analyst program will provide a fundamental understanding of risk management, risk governance and risk best practices. The program assigns interns to teams across the risk organization,...
read moreServes as a senior compliance risk analyst for Independent Compliance Risk Management (ICRM) responsible for establishing internal strategies, policies, procedures, processes, and programs to prevent ...
read moreServes as a senior compliance risk analyst for Independent Compliance Risk Management (ICRM) responsible for establishing internal strategies, policies, procedures, processes, and programs to prevent ...
read moreThe Third-Party Risk Management Analyst is responsible for helping to facilitate Northwest's risk assessment of third parties and associated services, identifying and documenting material risks associ...
read moreThe Third-Party Risk Management Analyst is responsible for helping to facilitate Northwest's risk assessment of third parties and associated services, identifying and documenting material risks associ...
read moreMonitors and reports various obligor and product level credit limits and risk appetite metrics like credit exposure, concentration risk, cross-border risk. The Risk Operations Senior Analyst is a seas...
read moreMonitors and reports various obligor and product level credit limits and risk appetite metrics like credit exposure, concentration risk, cross-border risk. The Risk Operations Senior Analyst is a seas...
read moreMonitors and reports various obligor and product level credit limits and risk appetite metrics like credit exposure, concentration risk, cross-border risk. Ensures risk exposure is accurately reflecte...
read moreMonitors and reports various obligor and product level credit limits and risk appetite metrics like credit exposure, concentration risk, cross-border risk. Ensures risk exposure is accurately reflecte...
read moreDuties: Contribute to a Model Risk Management team, responsible for providing controls and governance over the development, execution, and maintenance of models in conjunction with independent model v...
read moreDuties: Contribute to a Model Risk Management team, responsible for providing controls and governance over the development, execution, and maintenance of models in conjunction with independent model v...
read moreDART (Risk Data, Analytics, Reporting and Technology) is the leading risk modeling and data analytics team in Citi. Work with risk managers, businesses, modelers, and tech to design and build analytic...
read moreDART (Risk Data, Analytics, Reporting and Technology) is the leading risk modeling and data analytics team in Citi. Knowledge of or interest in finance, markets, risk management. Your responsibilities...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Lead Quantitative Analysts in establishing, monitoring, eval...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Lead Quantitative Analysts in establishing, monitoring, eval...
read moreEnsure risk questionnaires and other risk assessments are distributed and completed on-time and prepares initial impact assessments. Plan and conduct risk assessment activities according to the approp...
read moreEnsure risk questionnaires and other risk assessments are distributed and completed on-time and prepares initial impact assessments. Plan and conduct risk assessment activities according to the approp...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Lead Quantitative Analysts in establishing, monitoring, eval...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Lead Quantitative Analysts in establishing, monitoring, eval...
read moreSupport the first line of defense risk management function by assisting with the identification and assessment of risks, risk monitoring and testing, and issues management. Assist in identify emerging...
read moreSupport the first line of defense risk management function by assisting with the identification and assessment of risks, risk monitoring and testing, and issues management. Assist in identify emerging...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Track portfolio performance and risk strategy results. Ident...
read moreUnderstand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Demonstrated working knowledge of Credit Risk databases to p...
read moreMay function as mentor/coach for one to two Risk Analyst I or II- level employees. Adhere to applicable compliance/operational risk controls in accordance with Company or regulatory standards and poli...
read moreMay function as mentor/coach for one to two Risk Analyst I or II- level employees. Adhere to applicable compliance/operational risk controls in accordance with Company or regulatory standards and poli...
read moreSenior Risk Business Analyst/PM. Lead tasks and responsibilities associated with the planning, directing, coordination and support of CO deliverables under Credit Risk Data and Technology Team. Suppor...
read moreSenior Risk Business Analyst/PM. Lead tasks and responsibilities associated with the planning, directing, coordination and support of CO deliverables under Credit Risk Data and Technology Team. Suppor...
read moreBachelor's degree in Accounting, Finance, Economics or related field and a minimum of 3 years' risk management experience, or in lieu of a degree, a combined minimum of 7 years' higher education and/o...
read moreBachelor's degree in Accounting, Finance, Economics or related field and a minimum of 3 years' risk management experience, or in lieu of a degree, a combined minimum of 7 years' higher education and/o...
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