- 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 ... Rates , FX and Secured Financing businesses. **Major Responsibilities:** + Provides Market Risk oversight for Rates , FX and Secured Financing businesses… more
- Mizuho Corporate Bank (New York, NY)
- …of new products. Qualifications + 8+ years of experience in market risk management required. + Proven experience in Rates and FX derivatives required. ... Summary As an experienced Risk Manager , you will be responsible...address limit excesses, quantification of usage, as well as risk appetite concerns. + Produce commentary detailing market… more
- MUFG (New York, NY)
- …(MRMD) primarily covering valuation models ( Rates , FX, Fixed Income products), Market Risk models and stress testing. **Major Responsibilities** : + Model ... manager role within the MUFG Americas' Risk Analytics Team within the Market ...Rates /Foreign Exchange/Fixed Income valuation models, XVA, SIMM, and Market Risk methodologies + Participate/lead in the… more
- American Express (New York, NY)
- …across balance sheet management areas, including funding and liquidity risk , market risk , and capital management. The Manager /Sr Manager - Market ... of market risks. **Key Responsibilities** + Identify, analyze, and quantify market risk exposures across interest rates , FX, and investments. + Implement… more
- Citigroup (Getzville, NY)
- … risk related matters across functions and products. **Job Purpose:** The **Business Risk and Control Group Manager ** reports into the Head of the newly ... responsible for assisting in the proactive management of operational risk and remediation of control issues, Manager 's...control disciplines would be a plus - credit, and market . + Strong risk management and control… more
- Citigroup (New York, NY)
- ** Risk Analytics Business Risk and Control Group Manager - C14** **Organization Overview:** Citi Markets Operations is currently at a pivotal point in its ... Markets products and services including: + Fixed Income (FX, Rates , Credit, Muni, Cash and Derivatives) where Citi is...products. **Job Purpose:** The ** Risk Analytics Business Risk and Control Group Manager ** will report… more
- The Cigna Group (Chattanooga, TN)
- …over $7B of revenue annually with gross margin of approximately $1B. The General Manager of Stop Loss will be responsible for protecting and growing this business ... stop loss strategy development, maximizing Cigna's ability to assess risk , working with medical and Rx solution leads to...solution leads to deliver high cost claim solutions to market that drive integrated client value, and presenting innovative… more
- Bank of America (New York, NY)
- EFR Global Markets Risk Manager Charlotte, North Carolina;Jersey City, New Jersey; New York, New York; Chicago, Illinois **Job Description:** At Bank of America, ... grow, and make an impact. Join us! **D** **epartment Overview:** Enterprise Financial Risk (EFR) seeks to deliver effective independent risk management of the… more
- TD Bank (Charlotte, NC)
- …all the requirements of the job and resides on the East Coast. The Audit Manager II for the Financial Risk Management team is accountable for overseeing the ... **Preferred Qualifications:** + CFA and/or FRM certification + Second line defense over market , liquidity or capital risk \#LI-AMCBCorporate **Who We Are:** TD… more
- Vanguard (Malvern, PA)
- …to invest cash flows across markets and act as portfolio manager with a risk controlled level of discretion. + Performs market and risk analysis for ... Fixed Income Global Bond Index Team. This is a risk -taking and risk management role with significant...analysis and relays relevant information to the appropriate portfolio manager for action. Acts as a liaison with outside… more