As a Real Estate Credit Risk - Analyst in the Wholesale Credit Risk team, you will play a crucial role in risk management and support for the Securitized Products Group business line. Our culture in R...
read moreThe Staff Analyst, Model Risk Management will spend a majority of their time performing critical reviews of (or “validating”) quantitative models planned for use at SoFi. The Staff Analyst, Model Risk...
read moreAs a key member of the second line of defense Technology, Cyber, Third Party Risk Management & Resilience Risk Management team, the Technology Risk Senior Analyst will support the Technology Risk team...
read moreJOB RESPONSIBILITIES* Provide independent, proactive oversight and challenge of IT risk management at the Bank through execution of risk framework elements including RCSA, control assessment, issue ma...
read moreSupport the management of all risk management functions including manage the risk management calendar, scheduling of meetings, staff on and off-boarding as well as staff training needs. Identification...
read moreThe Senior Risk Management Analyst reports to the Senior Director of Risk Management. The Senior Risk Management Analyst is responsible for providing oversight to the companys Workers Compensation cla...
read moreThe Senior Risk Management Analyst reports to the Senior Director of Risk Management. The Senior Risk Management Analyst is responsible for providing oversight to the company’s Workers’ Compensation c...
read moreWe're seeking a Credit Risk Analyst or Associate (AVP) who will be part of our growing Portfolio Management Group. Minimum 1 year experience for Analyst level and 2-5 years of experience for Associate...
read moreWork directly with key business leaders to facilitate information risk analysis and risk management processes, identify acceptable levels of risk, and establish roles and responsibilities with regards...
read moreCompliance Risk Management (“CRM”) Overview. Risk-based assessment and testing across the 40+ BX registered investment advisers and 300+ BX managed private and public investment funds. Assessments of ...
read moreMaintains current knowledge of status of all claims and litigation matters and keeps Risk Management leaders/team apprised of changes. A minimum of 1 to 3 years of experience in risk management, claim...
read moreThe Risk Management and Planning team is responsible for ensuring critical risks, mitigations and decision points are captured, anticipated, and reported to executive leadership to produce better outc...
read moreThe Risk Management Analyst is responsible for analyzing, researching, and preventing fraudulent ecommerce activity and reducing fraud related losses. Reporting to the Director of Fraud Management, th...
read moreIn-depth exposure to a specific Risk Stripe such as Credit Risk, Liquidity Risk, Market Risk, Risk COO, Wealth Management Risk, and Investment Management, Risk Data & Strategy, and Capital & Stress Te...
read moreBanking experience in credit risk and portfolio risk management. Employees are expected to perform other duties as assigned and directed by management. Job descriptions and duties may be modified when...
read moreThe Clinical Data Analyst Performance Improvement/Risk Management coordinates the data collection/ analysis functions of the Performance Improvement, Risk Management and Compliance Programs for Rivers...
read moreWith over 350 professionals across 11 offices around the world, XIG provides manager diligence, portfolio construction, risk management, and liquidity solutions to investors, drawing on Goldman Sachs’...
read moreVendor Risk Management Analyst. This role will support the Director of TPRM, as well as the Chief Risk Officer (CRO) and Deputy Chief Risk Officer (DCRO), and interface with Business Process Owners (B...
read moreThe role of the Investment Risk – Senior Risk Analyst focuses on the assessment, control, and governance of investment risks taken within commingled investment vehicles (funds and ETFs) and separately...
read moreInvestment risk refers to investment return differing from the return expected — this includes market risk, issuer risk, leverage risk, liquidity risk. Morgan’s Asset & Wealth Management Risk organiza...
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