- Fidelity Investments (Boston, MA)
- Job Description:Senior Manager - Global Financial Controls Center of ExcellenceThe Global Financial Controls Center of Excellence (GFC-CoE) is an enterprise-wide ... advisory services for select strategic initiatives and modernization efforts.The Senior Manager role will deliver significant value to the business by leading… more
- Rise (Chicago, IL)
- …talent like you who can continue to elevate our work and culture. The Manager , Paid Search will be responsible for managing a multi-person team owning the execution ... goals, as well as have superior skills managing client risk and human resources. They will be held fully...-$90,000, based on variations in knowledge, skills, experience and market conditions. Rise and Quad are proud to be… more
- Fidelity Investments (Chicago, IL)
- …and liquidity profiles of the various cryptocurrencies and tokens to inform market positioning and risk . Strategy development: Using data organization above, ... value-accrual. Monitoring previous reviews and building tools to assess utility and risk .Decision tools and models: Creating quantitative tools for assessing trading… more
- Fidelity Investments (Boston, MA)
- …programs, including compliance policies and procedures, control frameworks, and risk assessments, with an approach to evaluate opportunities for improvements.The ... include comprehensive health care coverage and emotional well-being support, market -leading retirement, generous paid time off and parental leave, charitable… more
- NextEra Energy (Juno Beach, FL)
- ** Market Risk Manager ** **Date:** Feb 13, 2025 **Location(s):** Juno Beach, FL, US, 33408 **Company:** NextEra Energy **Requisition ID:** 85711 is one of the ... team today! **Position Specific Description** We are looking for a highly skilled, hands-on market risk manager and product controller to join our market … more
- Marex (New York, NY)
- …services. For more information visit www.marex.com (http://www.marex.com/) Purpose of Role: The Market Risk Manager covers a variety of products ... in class risk management processes + Analyze portfolio and market risk using various quantitative models / techniques, including VaR, Stress Testing,… more
- MUFG (New York, NY)
- …our recruitment team will provide more details. **Job Summary:** This role is for a Senior Market Risk Manager , located in New York, covering the market ... for the Rates, FX and Secured Financing businesses. **Major Responsibilities:** + Provides Market Risk oversight for Rates, FX and Secured Financing businesses… more
- MUFG (New York, NY)
- …This is a quantitative risk manager role within the MUFG Americas' Risk Analytics Team within the Market Risk Management Department (MRMD) primarily ... covering valuation models (Rates, FX, Fixed Income products), Market Risk models and stress testing. **Major Responsibilities** : + Model coverage for… more
- CIBC (New York, NY)
- …**What You'll Be Doing** The incumbent will be responsible for ensuring that market risk for CIBC's US Equity Derivatives business is completely captured, ... time of your interview. **How You'll Succeed** + Ensure there are appropriate market risk frameworks in place for US Equity Derivatives to control for market… more
- Mizuho Corporate Bank (New York, NY)
- Summary As an experienced Risk Manager , you will be responsible for overseeing a multi-asset derivatives business: working with trading to understand and explain ... analysis, and XVA related analyses. + Work on projects to ensure market risk system functionality in support of new products. Qualifications + 8+ years… more